Sample records for sable subbasin offshore

  1. Seismic definition of Lower Cretaceous delta, south Whale subbasin, offshore Newfoundland

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Jayasinghe, N.R.; Stokes, R.E.

    1986-05-01

    Recognition of stratigraphic traps in areas where previous prospects were structural is a trend attributable partly to the availability of new, high-quality seismic data. In the South Whale subbasin, offshore Newfoundland, Canada, such a change in exploration philosophy is presently being evaluated. Exploratory drilling offshore eastern Canada began in 1966 in the South Whale subbasin. By the end of 1973, 13 wells were drilled in this subbasin; however, lack of success discouraged further drilling. These wells evaluated large, salt-related structures, well defined by seismic data. Although an adequate reservoir was encountered in a number of these wells, faulting associated withmore » halokinesis may have resulted in petroleum migration out of the reservoir. Interpretation of recently acquired high-quality seismic data indicate a delta in the Lower Cretaceous Missisauga Formation in the study area. Seismic dip sections across the delta show a shingled progradation pattern suggesting a wave-dominated depositional environment. The delta comprises approximately 400 km/sup 2/, with closure in the eastern half. Data from wells in the area indicate that adequate source and sealing beds could be present. Furthermore, rocks of similar age in the nearby Avalon basin contain significant petroleum accumulations, the most notable being within the Hibernia oil field.« less

  2. A reappraisal of the petroleum prospectivity of the Torquay Sub-basin, offshore southern Victoria, Australia

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    West, B.G.; Collins, G.

    1996-01-01

    The Torquay Sub-basin is located in the offshore part of the eastern Otway Basin, some 50km southwest of Melbourne. Three wells, all dry holes, were drilled between 1967 and 1992. Nerita-1 drilled in 1967 tested Eocene and Early Cretaceous reservoirs in a Miocene anticline. Snail-1 drilled in 1972 was not a valid structural test, and Wild Dog-1 drilled in 1992 tested Late Eocene sands in an Oligocene inversion faulted anticline sourced from Early Cretaceous coals. The area was assessed by previous explorers as lacking effective source. Work currently underway indicates these wells were dry because of lack of migration pathwaysmore » to the Tertiary. To the west, significant gas has been discovered in Late Cretaceous reservoirs offshore at Minerva-11 and LaBella-1, and onshore in wells in the Port Campbell Embayment. In the Bass Basin to the south, there have been consistent oil, condensate and gas shows. Geochemical analysis of the Early Cretaceous Eumeralla Formation and Casterton beds throughout the Otway Basin demonstrate they contain source rocks capable of generating both oil and gas. Our study indicates that early Cretaceous sandstones with porosities better than 20%, may be present at depths of less than 2000m in the Torquay Sub-basin in tilted fault blocks. Source would be from down-dip lacustrine shales of the Casterton Beds. The general basement high area in which this play is developed is some 15km by 15 km with up to 400m of relief.« less

  3. A reappraisal of the petroleum prospectivity of the Torquay Sub-basin, offshore southern Victoria, Australia

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    West, B.G.; Collins, G.

    1996-12-31

    The Torquay Sub-basin is located in the offshore part of the eastern Otway Basin, some 50km southwest of Melbourne. Three wells, all dry holes, were drilled between 1967 and 1992. Nerita-1 drilled in 1967 tested Eocene and Early Cretaceous reservoirs in a Miocene anticline. Snail-1 drilled in 1972 was not a valid structural test, and Wild Dog-1 drilled in 1992 tested Late Eocene sands in an Oligocene inversion faulted anticline sourced from Early Cretaceous coals. The area was assessed by previous explorers as lacking effective source. Work currently underway indicates these wells were dry because of lack of migration pathwaysmore » to the Tertiary. To the west, significant gas has been discovered in Late Cretaceous reservoirs offshore at Minerva-11 and LaBella-1, and onshore in wells in the Port Campbell Embayment. In the Bass Basin to the south, there have been consistent oil, condensate and gas shows. Geochemical analysis of the Early Cretaceous Eumeralla Formation and Casterton beds throughout the Otway Basin demonstrate they contain source rocks capable of generating both oil and gas. Our study indicates that early Cretaceous sandstones with porosities better than 20%, may be present at depths of less than 2000m in the Torquay Sub-basin in tilted fault blocks. Source would be from down-dip lacustrine shales of the Casterton Beds. The general basement high area in which this play is developed is some 15km by 15 km with up to 400m of relief.« less

  4. 36 CFR 13.918 - Sable Pass Wildlife Viewing Area.

    Code of Federal Regulations, 2011 CFR

    2011-07-01

    ... 36 Parks, Forests, and Public Property 1 2011-07-01 2011-07-01 false Sable Pass Wildlife Viewing... Preserve General Provisions § 13.918 Sable Pass Wildlife Viewing Area. (a) Entry into the Sable Pass Wildlife Viewing Area is prohibited from May 1 to September 30 unless authorized by the Superintendent. (b...

  5. 36 CFR 13.918 - Sable Pass Wildlife Viewing Area.

    Code of Federal Regulations, 2012 CFR

    2012-07-01

    ... 36 Parks, Forests, and Public Property 1 2012-07-01 2012-07-01 false Sable Pass Wildlife Viewing... Preserve General Provisions § 13.918 Sable Pass Wildlife Viewing Area. (a) Entry into the Sable Pass Wildlife Viewing Area is prohibited from May 1 to September 30 unless authorized by the Superintendent. (b...

  6. 36 CFR 13.918 - Sable Pass Wildlife Viewing Area.

    Code of Federal Regulations, 2010 CFR

    2010-07-01

    ... 36 Parks, Forests, and Public Property 1 2010-07-01 2010-07-01 false Sable Pass Wildlife Viewing... Preserve General Provisions § 13.918 Sable Pass Wildlife Viewing Area. (a) Entry into the Sable Pass Wildlife Viewing Area is prohibited from May 1 to September 30 unless authorized by the Superintendent. (b...

  7. 36 CFR 13.918 - Sable Pass Wildlife Viewing Area.

    Code of Federal Regulations, 2014 CFR

    2014-07-01

    ... 36 Parks, Forests, and Public Property 1 2014-07-01 2014-07-01 false Sable Pass Wildlife Viewing... Preserve General Provisions § 13.918 Sable Pass Wildlife Viewing Area. (a) Entry into the Sable Pass Wildlife Viewing Area is prohibited from May 1 to September 30 unless authorized by the Superintendent. (b...

  8. 36 CFR 13.918 - Sable Pass Wildlife Viewing Area.

    Code of Federal Regulations, 2013 CFR

    2013-07-01

    ... 36 Parks, Forests, and Public Property 1 2013-07-01 2013-07-01 false Sable Pass Wildlife Viewing... Preserve General Provisions § 13.918 Sable Pass Wildlife Viewing Area. (a) Entry into the Sable Pass Wildlife Viewing Area is prohibited from May 1 to September 30 unless authorized by the Superintendent. (b...

  9. Sediment transport on Cape Sable, Everglades National Park, Florida

    USGS Publications Warehouse

    Zucker, Mark; Boudreau, Carrie

    2010-01-01

    The Cape Sable peninsula is located on the southwestern tip of the Florida peninsula within Everglades National Park (ENP). Lake Ingraham, the largest lake within Cape Sable, is now connected to the Gulf of Mexico and western Florida Bay by canals built in the early 1920's. Some of these canals breached a natural marl ridge located to the north of Lake Ingraham. These connections altered the landscape of this area allowing for the transport of sediments to and from Lake Ingraham. Saline intrusion into the formerly fresh interior marsh has impacted the local ecology. Earthen dams installed in the 1950's and 1960's in canals that breached the marl ridge have repeatedly failed. Sheet pile dams installed in the early 1990's subsequently failed resulting in the continued alteration of Lake Ingraham and the interior marsh. The Cape Sable Canals Dam Restoration Project, funded by ENP, proposes to restore the two failed dams in Lake Ingraham. The objective of this study was to collect discharge and water quality data over a series of tidal cycles and flow conditions to establish discharge and sediment surrogate relations prior to initiating the Cape Sable Canals Dam Restoration Project. A dry season synoptic sampling event was performed on April 27-30, 2009.

  10. 77 FR 58979 - Boundary Establishment for the Au Sable, Bear Creek, Manistee, and the Pine Wild and Scenic...

    Federal Register 2010, 2011, 2012, 2013, 2014

    2012-09-25

    ... DEPARTMENT OF AGRICULTURE Forest Service Boundary Establishment for the Au Sable, Bear Creek..., Washington Office, is transmitting the final boundary of the Au Sable, Bear Creek, Manistee, and the Pine..., Cadillac, MI 49601, (231) 775- 5023, ext. 8756. SUPPLEMENTARY INFORMATION: The Au Sable, Bear Creek...

  11. DuSable High School Program Flourishes.

    ERIC Educational Resources Information Center

    Graff, Pat

    1995-01-01

    Describes the fall and rise of the Panther Press, the scholastic newspaper of the DuSable High School in Chicago. States that despite being located in the midst of public housing projects, the school's newspaper is thriving where others in similar circumstances have failed. Describes how the school's principal and an advisor revitalized and…

  12. Geographic characteristics of sable (Martes zibellina) distribution over time in Northeast China.

    PubMed

    Zhang, Rui; Yang, Li; Ai, Lin; Yang, Qiuyuan; Chen, Minhao; Li, Jingxi; Yang, Lei; Luan, Xiaofeng

    2017-06-01

    Understanding historical context can help clarify the ecological and biogeographic characteristics of species population changes. The sable ( Martes zibellina ) population has decreased dramatically in Northeast China since the l950s, and understanding the changes in its distribution over time is necessary to support conservation efforts. To achieve this goal, we integrated ecological niche modeling and historical records of sables to estimate the magnitude of change in their distribution over time. Our results revealed a 51.71% reduction in their distribution in 2000-2016 compared with the potential distribution in the 1950s. This reduction was related to climate change (Pearson's correlation: Bio1, -.962, p  < .01; Bio2, -.962, p  < .01; Bio5, .817, p  < .05; Bio6, .847, p  < .05) and human population size (-.956, p  < .01). The sable population tended to migrate in different directions and elevations over time in different areas due to climate change: In the Greater Khingan Mountains, they moved northward and to lower elevations; in the Lesser Khingan Mountains, they moved northward; and in the Changbai Mountains, they move southward and to higher elevations. Active conservation strategies should be considered in locations where sable populations have migrated or may migrate to.

  13. Paleocene calcareous nannofossils biostratigraphy from the Sergipe Sub-basin, northeastern Brazil: Implications for this depositional environment

    NASA Astrophysics Data System (ADS)

    Andrade Oliveira, Geize Carolinne Correia; de Oliveira, Rick Souza; Monte Guerra, Rodrigo; de Lima Filho, Mario Ferreira

    2018-03-01

    This study reports on the biostratigraphy of Paleocene calcareous nannofossils and paleoenvironmental inferences based on five wells drilled on the offshore portion of the Sergipe Sub-basin. Five biostratigraphic zones were defined for the Paleocene in zones of Brazilian continental margin basins N-305, N-307, N-330, N-340 and N-350, and four hiatuses were identified based on the absence of marker species. These hiatuses were interpreted as excavations originated by turbulent to hyperpycnal flows, revealing an important application of biostratigraphy to better understand depositional environments that are often limited by little variation in lithology or low variation in the well log patterns. In Paleoecological terms, the Sergipe Sub-basin, in the Paleocene, experienced geological and environmental events similar to those of other sedimentary basins on the eastern passive continental margin of Brazil, but has a more complete biostratigraphic record of calcareous nannofossils.

  14. Geohydrology of the Winchester Subbasin, Riverside County, California

    USGS Publications Warehouse

    Kaehler, Charles A.; Burton, Carmen A.; Rees, Terry F.; Christensen, Allen H.

    1998-01-01

    Aquifer-test results indicate that the transmissivity is about 950 feet squared per day in the eastern part of the Winchester subbasin near the boundary with the Hemet subbasin and about 72 feet squared per day in the western part of the subbasin near the boundary with th

  15. Martens, sables, and fishers: new synthesis informs management and conservation

    Treesearch

    Keith B. Aubry; Martin G. Raphael; Marie Oliver

    2014-01-01

    Martens, sables, and fishers are midsized carnivores belonging to the genus Martes. Their silky coats have been valued in the fur trade for centuries, which has contributed to a marked decline in their numbers. Pacific Northwest Martes species depend on structurally complex forested ecosystems and specific climatic conditions...

  16. [Fenetic analysis of aboriginal and introduced sable (Martes zibellina) populations in Russia].

    PubMed

    Monakhov, V G

    2001-09-01

    Using standard and mulivariate statistic methods, an epigenetic character--foramina in fossa condyloidei inferior, FFCI--was studied in sable populations. This character was shown to be most frequent in southeastern populations of the species (Primorye and the Baikal region) while its distribution in the remaining part of the range was polyclinal. The expression of FFCI was directly associated with coat color and longitude, and inversely associated with skull size. This trend was broken by some western populations formed in the 1950s by introduction, which exhibited stable morphological differences with adjacent aboriginal sable populations. Most populations of the species exhibit differences in the manifestation of the character. Frequency of the FFCI manifestation can be used as an additional population characteristic, an associative diagnostic character that shows high discriminating capability in detecting phenogenetic relationships of intraspecific groups.

  17. Plastic ingestion by fulmars and shearwaters at Sable Island, Nova Scotia, Canada.

    PubMed

    Bond, Alexander L; Provencher, Jennifer F; Daoust, Pierre-Yves; Lucas, Zoe N

    2014-10-15

    Plastic pollution is widespread in the marine environment, and plastic ingestion by seabirds is now widely reported for dozens of species. Beached Northern Fulmars, Great Shearwaters, Sooty Shearwaters and Cory's Shearwaters are found on Sable Island, Nova Scotia, Canada regularly, and they can be used to assess plastic pollution. All species except Cory's Shearwaters contained plastic debris in their gastrointestinal tracts. Northern Fulmars, Sooty Shearwaters and Great Shearwaters all showed high prevalence of plastic ingestion (>72%), with Northern Fulmars having the highest number and mass of plastics among the species examined. There was no difference in plastic ingestion between sexes or age classes. In all species user plastics made up the majority of the pieces found, with industrial pellets representing only a small proportion in the samples. Sable Island could be an important monitoring site for plastic pollution in Atlantic Canada. Copyright © 2014 Elsevier Ltd. All rights reserved.

  18. Book review: Biology and conservation of martens, sables, and fishers: A new synthesis

    USGS Publications Warehouse

    Jenkins, Kurt J.

    2013-01-01

    Review info: Biology and conservation of martens, sables, and fishers: A new synthesis. Edited by K.B. Aubry, W.J. Zielinski, M.G. Raphael, G. Proulx, and S.W. Buskirk, 2012. ISBN: 978-08014, 580pp.

  19. McKenzie River Subbasin Assessment, Technical Report 2000.

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Alsea Geospatial, Inc.

    2000-02-01

    This document details the findings of the McKenzie River Subbasin Assessment team. The goal of the subbasin assessment is to provide an ecological assessment of the McKenzie River Floodplain, identification of conservation and restoration opportunities, and discussion of the influence of some upstream actions and processes. This Technical Report can be viewed in conjunction with the McKenzie River Subbasin Summary or as a stand-alone document. The purpose of the technical report is to detail the methodology and findings of the consulting team that the observations and recommendations in the summary document are based on. This part, Part I, provides anmore » introduction to the subbasin and a general overview. Part II details the specific findings of the science team. Part III provides an explanation and examples of how to use the data that has been developed through this assessment to aid in prioritizing restoration activities. Part III also includes the literature cited and appendices.« less

  20. Using fecal hormonal and behavioral analyses to evaluate the introduction of two sable antelope at Lincoln Park Zoo.

    PubMed

    Loeding, Erin; Thomas, Jeanette; Bernier, Dave; Santymire, Rachel

    2011-01-01

    Introductions of sable antelope (Hippotragus niger) can be difficult due to the potential ensuing aggression compounded by their large horns. The goal was to use hormonal assays and behavioral analyses to evaluate the success of an introduction of 2 adult females at Lincoln Park Zoo. The objectives were to (a) document behavioral and hormonal changes in 2 female sable antelope during the introduction, (b) compare fecal glucocorticoid metabolites (FGM) in each individual during the introduction stages, (c) measure fecal androgen metabolites (FAM) during introduction and compare with dominance rank and observed aggression, and (d) monitor estrous cycle synchronization. Results demonstrate that FGM were higher before than during and after the introduction. Behavioral observations indicated limited aggression between females, although the keeper survey results revealed that the new female was more dominant and had higher mean FGM and FAM than the resident. Both sable antelope were reproductively active throughout the year. Results indicate that fecal hormone analysis can provide zoo management with valuable information to minimize the risk of aggression, injury, and stress during introductions of nonhuman animals.

  1. Integrated fate modeling for exposure assessment of produced water on the Sable Island Bank (Scotian shelf, Canada).

    PubMed

    Berry, Jody A; Wells, Peter G

    2004-10-01

    Produced water is the largest waste discharge from the production phase of oil and gas wells. Produced water is a mixture of reservoir formation water and production chemicals from the separation process. This creates a chemical mixture that has several components of toxic concern, ranging from heavy metals to soluble hydrocarbons. Analysis of potential environmental effects from produced water in the Sable Island Bank region (NS, Canada) was conducted using an integrated modeling approach according to the ecological risk assessment framework. A hydrodynamic dispersion model was used to describe the wastewater plume. A second fugacity-based model was used to describe the likely plume partitioning in the local environmental media of water, suspended sediment, biota, and sediment. Results from the integrated modeling showed that the soluble benzene and naphthalene components reach chronic no-effect concentration levels at a distance of 1.0 m from the discharge point. The partition modeling indicated that low persistence was expected because of advection forces caused by tidal currents for the Sable Island Bank system. The exposure assessment for the two soluble hydrocarbon components suggests that the risks of adverse environmental effects from produced water on Sable Island Bank are low.

  2. Mean circulation and high-frequency flow amplification in the Sable Gully

    NASA Astrophysics Data System (ADS)

    Greenan, Blair J. W.; Petrie, Brian D.; Cardoso, Diana A.

    2014-06-01

    The Sable Gully, a broad, shelf break submarine canyon approximately 40 km east of Sable Island on the eastern Scotian Shelf, separates Banquereau and Sable Island Banks. Unique among canyons on the eastern Canadian continental shelf because of its depth, steep slopes and extension far onto the shelf, its ecological significance and increasing human pressures led to its designation in 2004 under Canada's Oceans Act as the first Marine Protected Area (MPA) in the Atlantic Region. To improve the state of knowledge of the Gully MPA, a multi-disciplinary field program was carried out in 2006-07; the physical oceanographic component consisted of the deployment (April 2006) and recovery (August 2007) of four current meter moorings and CTD surveys. Analysis of this 16-month mooring deployment demonstrates that the mean circulation above the canyon rim (~200 m) is characterized by a southwestward flow that appears unaffected by the canyon topography. There is also some indication of the existence of an eddy at rim depth. Below 500 m, the circulation is dominated by an upcanyon flow (of order 0.02 m s-1) at the mooring array (halfway between the canyon head and mouth). The mean, 200 m-bottom transport towards the head of the Gully was estimated as 35,500 m3 s-1, implying an upwelling velocity of 1.7×10-4 m s-1 (14 m d-1) over the area. Results also show bottom-intensified tidal flows and non-linear constituents due to the interaction of K1, O1, M2 and S2 components along the thalweg of the canyon; the strong overtides and compound tides observed in the Gully make it unique among canyons. Further analyses provide evidence of enhanced mixing in the Gully (Kv~180×10-4 m2 s-1), which is approximately 20 times that observed on the adjoining Scotian Shelf. Total variance of the currents in the Gully is about 2.5 times greater than that observed on the nearby continental slope with an equivalent water depth.

  3. Analysis of Tide and Offshore Storm-Induced Water Table Fluctuations for Structural Characterization of a Coastal Island Aquifer

    NASA Astrophysics Data System (ADS)

    Trglavcnik, Victoria; Morrow, Dean; Weber, Kela P.; Li, Ling; Robinson, Clare E.

    2018-04-01

    Analysis of water table fluctuations can provide important insight into the hydraulic properties and structure of a coastal aquifer system including the connectivity between the aquifer and ocean. This study presents an improved approach for characterizing a permeable heterogeneous coastal aquifer system through analysis of the propagation of the tidal signal, as well as offshore storm pulse signals through a coastal aquifer. Offshore storms produce high wave activity, but are not necessarily linked to significant onshore precipitation. In this study, we focused on offshore storm events during which no onshore precipitation occurred. Extensive groundwater level data collected on a sand barrier island (Sable Island, NS, Canada) show nonuniform discontinuous propagation of the tide and offshore storm pulse signals through the aquifer with isolated inland areas showing enhanced response to both oceanic forcing signals. Propagation analysis suggests that isolated inland water table fluctuations may be caused by localized leakage from a confined aquifer that is connected to the ocean offshore but within the wave setup zone. Two-dimensional groundwater flow simulations were conducted to test the leaky confined-unconfined aquifer conceptualization and to identify the effect of key parameters on tidal signal propagation in leaky confined-unconfined coastal aquifers. This study illustrates that analysis of offshore storm signal propagation, in addition to tidal signal propagation, provides a valuable and low resource approach for large-scale characterization of permeable heterogeneous coastal aquifers. Such an approach is needed for the effective management of coastal environments where water resources are threatened by human activities and the changing climate.

  4. Geospatial approaches to characterizing agriculture in the Chincoteague Bay subbasin.

    PubMed

    Kutz, Frederick W; Morgan, John M; Monn, Jeremy; Petrey, Chad P

    2012-01-01

    Most agricultural information is reported by government sources on a state or county basis. The purpose of this study was to demonstrate use of geospatial data, the 2002 Agricultural Cropland Data Layer (CDL) for the mid-Atlantic region, to characterize agricultural, environmental, and other scientific parameters for the Chincoteague Bay subbasin using geographic information systems. This study demonstrated that agriculture can be characterized accurately on subbasin and subwatershed bases, thus complimenting various assessment technologies. Approximately 28% of the dry land of the subbasin was cropland. Field corn was the largest crop. Soybeans, either singly or double-cropped with wheat, were the second most predominant crop. Although the subbasin is relatively small, cropping practices in the northern part were different from those in the southern portion. Other crops, such as fresh vegetables and vegetables grown for processing, were less than 10% of the total cropland. A conservative approximation of the total pesticide usage in the subbasin in 2002 was over 277,000 lbs of active ingredients. Herbicides represented the most frequently used pesticides in the subbasin, both in number (17) and in total active ingredients (over 261,000 lbs). Ten insecticides predominated in the watershed, while only small quantities of three fungicides were used. Total pesticide usage and intensity were estimated using the CDL. Nutrient inputs to cropland from animal manure, chemical fertilizer, and atmospheric deposition were modeled at over 30 million pounds of nitrogen and over 7 million pounds of phosphorous. Crops under conservation tillage had the largest input of both nutrients.

  5. Source potential of the Zairian onshore pre-salt subbasins of the West African Aptian salt basin

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Swirydczuk, K.; Tshiband, D.; Nyimi, M.

    1996-08-01

    Three pre-salt subbasins are located onshore in Zaire in the Congo-Cabinda Basin. Production exists to the west, and extensive outcrops of Mavuma tar sands are located immediately to the east of these subbasins. Five pre-salt wells confirmed that thick Barremian lacustrine claystones of the Bucomazi Formation form the main source horizon in all the subbasins. Upper Bucomazi claystones average 4% and reach 12% TOC. Lower Bucomazi claystones average 2% (high of 6%). A mixed Type I/Type II algal oil-prone kerogen predominates. Up to 1% TOC is present in claystones in the underlying Lucula section. Dry pyrolysis shows significant differences inmore » kerogen kinetics from subbasin to subbasin. R{sub o} and T{sub max} were used to model heat flow through time. Ages were from biostratigraphic analyses and radiometric dating of thin volcanics within the Lucula and Bucomazi formations. Apatite fission track analyses provided control on uplift history. Pseudowells were used in maturation modelling to predict source rock maturity in the subbasins. The upper Bucomazi is immature except in the deeper parts of two of the subbasins. The Lower - Bucomazi and Upper Lucula are mature in all subbasins and in the deepest subbasins are overmature. Oil generation occurred shortly after deposition of the Loeme Salt. Analyses of Lindu oil support this early migration. Estimates of oil that may have been generated in the eastern-most subbasin suggest that extensive Mavuma tar sands, which have been typed to lacustrine source, could have been sourced from this subbasin.« less

  6. Parallelization of a Fully-Distributed Hydrologic Model using Sub-basin Partitioning

    NASA Astrophysics Data System (ADS)

    Vivoni, E. R.; Mniszewski, S.; Fasel, P.; Springer, E.; Ivanov, V. Y.; Bras, R. L.

    2005-12-01

    A primary obstacle towards advances in watershed simulations has been the limited computational capacity available to most models. The growing trend of model complexity, data availability and physical representation has not been matched by adequate developments in computational efficiency. This situation has created a serious bottleneck which limits existing distributed hydrologic models to small domains and short simulations. In this study, we present novel developments in the parallelization of a fully-distributed hydrologic model. Our work is based on the TIN-based Real-time Integrated Basin Simulator (tRIBS), which provides continuous hydrologic simulation using a multiple resolution representation of complex terrain based on a triangulated irregular network (TIN). While the use of TINs reduces computational demand, the sequential version of the model is currently limited over large basins (>10,000 km2) and long simulation periods (>1 year). To address this, a parallel MPI-based version of the tRIBS model has been implemented and tested using high performance computing resources at Los Alamos National Laboratory. Our approach utilizes domain decomposition based on sub-basin partitioning of the watershed. A stream reach graph based on the channel network structure is used to guide the sub-basin partitioning. Individual sub-basins or sub-graphs of sub-basins are assigned to separate processors to carry out internal hydrologic computations (e.g. rainfall-runoff transformation). Routed streamflow from each sub-basin forms the major hydrologic data exchange along the stream reach graph. Individual sub-basins also share subsurface hydrologic fluxes across adjacent boundaries. We demonstrate how the sub-basin partitioning provides computational feasibility and efficiency for a set of test watersheds in northeastern Oklahoma. We compare the performance of the sequential and parallelized versions to highlight the efficiency gained as the number of processors increases

  7. Physical characteristics of stream subbasins in the Pomme de Terre River Basin, west-central Minnesota

    USGS Publications Warehouse

    Lorenz, D.L.; Payne, G.A.

    1994-01-01

    Data describing the physical characteristics of stream subbasins upstream from selected points on streams in the Pomme de Terre River Basin, located in west-central Minnesota, are presented in this report. The physical characteristics are the drainage area of the subbasin, the percentage area of the subbasin covered only by lakes, the percentage area of the subbasin covered by both lakes and wetlands, the main-channel length, and the main-channel slope. The points on the stream include outlets of subbasins of at least 5 square miles, outfalls of sewage treatment plants, and locations of U.S. Geological Survey low-flow, high-flow, and continuous-record gaging stations.

  8. Red River of the North Reconnaissance Report: Ottertail River Subbasin.

    DTIC Science & Technology

    1980-12-01

    Excessive drainage in the future could diminish the ecological and recreational diversity of the subbasin. Water Quality Problems Some quality...manufacturing establishments are involved with agricultural or wood products. The two largest employers (between 750 and 1,250) are plants that process...RIVER SUBBASIN Estimated SIC Description Employment 20 Food and Kindred Products 1,850 23 Apparel made from fabrics 200 24 Lumber and Wood Products 600 25

  9. Characterization and source of oil contamination on the beaches and seabird corpses, Sable Island, Nova Scotia, 1996-2005.

    PubMed

    Lucas, Zoe; Macgregor, Clive

    2006-07-01

    During April 1996-May 2005, 2343 oiled seabird corpses were recorded in beach surveys conducted on Sable Island, Nova Scotia. One hundred eighty-three samples of oil were collected from the beaches and from the feathers of bird corpses. Gas chromatographic (GC/FID) analysis was used to identify generic oil type and likely marine source. During this period, at least 74 marine oil discharge events were probably responsible for beached pelagic tar and contamination of seabird corpses found on Sable Island, of which 77.0% were crude oils, 14.9% were fuel oils, and 8.1% were bilge oil mixtures. While fuel and bilge oils may be discharged by all vessel and platform types, crude oil discharges are associated with tanker operations. This study demonstrates that oiling of the sea from tankers remains a serious wildlife issue in the Northwest Atlantic.

  10. Effects of Subbasin Size on Topographic Characteristics and Simulated Flow Paths in Sleepers River Watershed, Vermont

    NASA Astrophysics Data System (ADS)

    Wolock, David M.

    1995-08-01

    The effects of subbasin size on topographic characteristics and simulated flow paths were determined for the 111.5-km2 Sleepers River Research Watershed in Vermont using the watershed model TOPMODEL. Topography is parameterized in TOPMODEL as the spatial and statistical distribution of the index ln (a/tan B), where In is the Napierian logarithm, a is the upslope area per unit contour length, and tan B is the slope gradient. The mean, variance, and skew of the ln (a/tan B) distribution were computed for several sets of nested subbasins (0.05 to 111.5 km2)) along streams in the watershed and used as input to TOPMODEL. In general, the statistics of the ln (a/tan B) distribution and the simulated percentage of overland flow in total streamflow increased rapidly for some nested subbasins and decreased rapidly for others as subbasin size increased from 0.05 to 1 km2, generally increased up to a subbasin size of 5 km2, and remained relatively constant at a subbasin size greater than 5 km2. Differences in simulated flow paths among subbasins of all sizes (0.05 to 111.5 km2) were caused by differences in the statistics of the ln (a/tan B) distribution, not by differences in the explicit spatial arrangement of ln (a/tan B) values within the subbasins. Analysis of streamflow chemistry data from the Neversink River watershed in southeastern New York supports the hypothesis that subbasin size affects flow-path characteristics.

  11. Tertiary evolution of the northeastern Venezuela offshore

    NASA Astrophysics Data System (ADS)

    Ysaccis B., Raul

    1998-12-01

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

  12. Geophysical investigation of an upper tertiary subbasin in the southern Egyptian Red Sea shelf and its bearing on oil exploration

    NASA Astrophysics Data System (ADS)

    Khattab, M. M.

    Several narrow, elongate and Red Sea-trending gravity lows, suggested recently as due to depositional troughs, are shown on the Egyptian Red Sea shelf Bouguer map. Few drilling data and poor reflectivity below the Pliocene-Miocene uncorformity hinder subsurface evaluation. A 1 mgal anomaly (25 km north of Ras Benas Peninsula) was analysed along a crossing sessmic reflection line. The interpretation was aided by: lithology at an off-shore well, seismic data above the unconformity and aeromagnetic data in the southerly-located Foul Bay. The best fit of computed to observed gravity was for a three-layers model (water, post-evaporites and evaporites) where maximum sediment thickness was 3.8 km of which layers 2 and 3 constittted 1.6 and 2.2 km. The subbasin configuration was found to be controlled by Quaternary (similar to that mapped at Egyptian and Saudi Arabian coastal provinces) and pre-middle Miocence (affecting only middle Miocene evaprites beneath a reflection line at the western margin of the main trough near latitude 24°N) faulting which supports the conceot of Red Sea arching and subsequent faulting at marginal shelves. This subbasin is found associated, in part, with a sea--floor trough and with part of Foul Bay magnetic lineations (interpreted recently as caused by oceanic crust) which, in turn, are shown to constitute continuation of mapped onshore tholeiitic dikes.

  13. Integration of sewer system maps in topographically based sub-basin delineation in suburban areas

    NASA Astrophysics Data System (ADS)

    Jankowfsky, Sonja; Branger, Flora; Braud, Isabelle; Rodriguez, Fabrice

    2010-05-01

    Due to the increase of urbanization, suburban areas experience a fast change in land use. The impact of such modifications on the watershed hydrological cycle must be quantified. To achieve this goal, distributed hydrological models offer the possibility to take into account land use change, and more particularly to consider urbanized areas and anthropogenic features such as roads or ditches and their impact on the hydrological cycle. A detailed definition of the hydrographical drainage network and a corresponding delineation of sub-basins is therefore necessary as input to distributed models. Sub-basins in natural catchments are usually delineated using standard GIS based terrain analysis. The drainage network in urbanised watersheds is often modified, due to sewer systems, ditches, retention basins, etc.. Therefore, its delineation is not only determined by topography. The simple application of terrain analysis algorithms to delineate sub-basins in suburban areas can consequently lead to erroneous sub-basin borders. This study presents an improved approach for sub-basin delineation in suburban areas. It applies to small catchments connected to a sewage plant, located outside the catchment boundary. The approach assumes that subsurface flow follows topography. The method requires a digital elevation model (DEM), maps of land use, cadastre, sewer system and the location of measurement stations and retention basins. Firstly, the topographic catchment border must be defined for the concerning flow measurement station. Standard GIS based algorithms, like the d8-flow direction algorithm (O'Callaghan and Mark, 1984) can be applied using a high resolution DEM. Secondly, the artificial catchment outlets have to be determined. Each catchment has one natural outlet - the measurement station on the river- but it can have several artificial outlets towards a sewage station. Once the outlets are determined, a first approximation of the "theoretical maximal contributing area

  14. Modelling study of three-dimensional circulation and particle movement over the Sable Gully of Nova Scotia

    NASA Astrophysics Data System (ADS)

    Shan, Shiliang; Sheng, Jinyu; Greenan, Blair John William

    2014-01-01

    The Sable Gully is a broad deep underwater canyon located to the east of Sable Island on the edge of the Scotian Shelf. Being the home of many marine species including the endangered Northern Bottlenose Whale, the Gully was designated as a marine protected area (MPA) in 2004. Better understanding of physical environmental conditions over this MPA is needed for sustainable ecosystem management. In this study, a multi-nested ocean circulation model and a particle tracking model are used to examine the three-dimensional (3D) circulation and movement of particles carried passively by the flow over the Sable Gully. The 3D circulation model is driven by tides, wind, and surface heat/freshwater fluxes. The model performance is assessed by comparing the results with the previous numerical tidal results and current meter observations made in the Gully. The simulated tidal circulation over the Gully and adjacent waters is relatively strong on shallow banks and relatively weak on the continental slope. Below the depth of the Gully rim ( ˜ 200 m), the tidal currents are constrained by the thalweg of the Gully and amplified toward the Gully head. The simulated subtidal circulation in the Gully has a complex spatial structure and significant seasonal variability. The simulated time-dependent 3D flow fields are then used in a particle tracking model to study the particle movements, downstream and upstream areas, and residence time of the Gully. Based on the movements of particles released at the depth of the Gully rim and tracked forward in time, the e-folding residence time is estimated to be about 7 and 13 days in February and August 2006, respectively. The Gully flanks are identified as high retention areas with the typical residence time of 10 and 20 days in February and August 2006, respectively. Tracking particles with and without tides reveals that tidal circulation reduces the value of residence time in the Gully, particularly along the Gully flanks.

  15. Physical characteristics of stream subbasins in the Hawk Creek-Yellow Medicine River basin, southwestern Minnesota and eastern South Dakota

    USGS Publications Warehouse

    Sanocki, Christopher A.

    1996-01-01

    Data that describe the physical characteristics of stream subbasins upstream from selected sites on streams in the Hawk Creek-Yellow Medicine River Basin, located in southwestern Minnesota and eastern South Dakota are presented in this report. The physical characteristics are the drainage area of the subbasin, the percentage area of the subbasin covered only by lakes, the percentage area of the subbasin covered by both lakes and wetlands, the main-channel length, and the main-channel slope. Stream sites include outlets of subbasins of at least 5 square miles, outlets of sewage treatment plants, and locations of U.S. Geological Survey low-flow, high-flow, and continuous-record gaging stations.

  16. Scalability of grid- and subbasin-based land surface modeling approaches for hydrologic simulations

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Tesfa, Teklu K.; Ruby Leung, L.; Huang, Maoyi

    2014-03-27

    This paper investigates the relative merits of grid- and subbasin-based land surface modeling approaches for hydrologic simulations, with a focus on their scalability (i.e., abilities to perform consistently across a range of spatial resolutions) in simulating runoff generation. Simulations produced by the grid- and subbasin-based configurations of the Community Land Model (CLM) are compared at four spatial resolutions (0.125o, 0.25o, 0.5o and 1o) over the topographically diverse region of the U.S. Pacific Northwest. Using the 0.125o resolution simulation as the “reference”, statistical skill metrics are calculated and compared across simulations at 0.25o, 0.5o and 1o spatial resolutions of each modelingmore » approach at basin and topographic region levels. Results suggest significant scalability advantage for the subbasin-based approach compared to the grid-based approach for runoff generation. Basin level annual average relative errors of surface runoff at 0.25o, 0.5o, and 1o compared to 0.125o are 3%, 4%, and 6% for the subbasin-based configuration and 4%, 7%, and 11% for the grid-based configuration, respectively. The scalability advantages of the subbasin-based approach are more pronounced during winter/spring and over mountainous regions. The source of runoff scalability is found to be related to the scalability of major meteorological and land surface parameters of runoff generation. More specifically, the subbasin-based approach is more consistent across spatial scales than the grid-based approach in snowfall/rainfall partitioning, which is related to air temperature and surface elevation. Scalability of a topographic parameter used in the runoff parameterization also contributes to improved scalability of the rain driven saturated surface runoff component, particularly during winter. Hence this study demonstrates the importance of spatial structure for multi-scale modeling of hydrological processes, with implications to surface heat fluxes in

  17. Assessment of Air Temperature Trends in the Source Region of Yellow River and Its Sub-Basins, China

    NASA Astrophysics Data System (ADS)

    Iqbal, Mudassar; Wen, Jun; Wang, Xin; Lan, Yongchao; Tian, Hui; Anjum, Muhammad Naveed; Adnan, Muhammad

    2018-02-01

    Changes in climatic variables at the sub-basins scale (having different features of land cover) are crucial for planning, development and designing of water resources infrastructure in the context of climate change. Accordingly, to explore the features of climate changes in sub-basins of the Source Region of Yellow River (SRYR), absolute changes and trends of temperature variables, maximum temperature (Tmax), minimum temperature (Tmin), mean temperature (Tavg) and diurnal temperature range (DTR), were analyzed annually and seasonally by using daily observed air temperature dataset from 1965 to 2014. Results showed that annual Tmax, Tmin and Tavg for the SRYR were experiencing warming trends respectively at the rate of 0.28, 0.36 and 0.31°C (10 yr)-1. In comparison with the 1st period (1965-1989), more absolute changes and trends towards increasing were observed during the 2nd period (1990-2014). Apart from Tangnaihai (a low altitude sub-basin), these increasing trends and changes seemed more significant in other basins with highest magnitude during winter. Among sub-basins the increasing trends were more dominant in Huangheyan compared to other sub-basins. The largest increase magnitude of Tmin, 1.24 and 1.18°C (10 yr)-1, occurred in high altitude sub-basins Jimai and Huangheyan, respectively, while the smallest increase magnitude of 0.23°C (10 yr)-1 occurred in a low altitude sub-basin Tangnaihai. The high elevation difference in Tangnaihai probably was the main reason for the less increase in the magnitude of Tmin. In the last decade, smaller magnitude of trend for all temperature variables signified the signal of cooling in the region. Overall, changes of temperature variables had significant spatial and seasonal variations. It implies that seasonal variations of runoff might be greater or different for each sub-basin.

  18. Evaluating water management scenarios to support habitat management for the Cape Sable seaside sparrow

    USGS Publications Warehouse

    Beerens, James M.; Romañach, Stephanie S.; McKelvy, Mark

    2016-06-22

    The endangered Cape Sable seaside sparrow (Ammodramus maritimus mirabilis) is endemic to south Florida and a key indicator species of marl prairie, a highly diverse freshwater community in the Florida Everglades. Maintenance and creation of suitable habitat is seen as the most important pathway to the persistence of the six existing sparrow subpopulations; however, major uncertainties remain in how to increase suitable habitat within and surrounding these subpopulations, which are vulnerable to environmental stochasticity. Currently, consistently suitable conditions for the Cape Sable seaside sparrow are only present in two of these subpopulations (B and E). The water management scenarios evaluated herein were intended to lower water levels and improve habitat conditions in subpopulation A and D, raise water levels to improve habitat conditions in subpopulations C and F, and minimize impacts to subpopulations B and E. Our objective in this analysis was to compare these scenarios utilizing a set of metrics (short- to long-time scales) that relate habitat suitability to hydrologic conditions. Although hydrologic outputs are similar across scenarios in subpopulation A, scenario R2H reaches the hydroperiod and depth suitability targets more than the other scenarios relative to ECB, while minimizing negative consequences to subpopulation E. However, although R2H hydroperiods are longer than those for ECB during the wet season in subpopulations C and F, depths during the breeding season are predicted to decrease in suitability (less than -50 cm) relative to existing conditions.

  19. Reconnaissance of the upper Au Sable River a cold-water river in the North-Central part of Michigan's southern peninsula

    USGS Publications Warehouse

    Hendrickson, G.E.; Doonan, C.J.

    1974-01-01

    The Au Sable River is one of Michigan’s most popular trout streams and canoe trails. Its riverside campgrounds are enjoyed by thousands of campers each year, and many cabins and homes have been built on its banks. At present, interests of the different recreationists – fishermen, canoers, campers, and riverside property owners – conflict. The conflict results from the face that the recreational potential is limited by the hydrologic characteristics of the river – its streamflow, quality of water, and character of stream channel, bed, and banks. The purpose of this report is to describe these characteristics and to show how they relate to the recreational potential of the stream.From its headwaters near Frederic the Au Sable flows southward to Grayling, then generally eastward to Lake Huron at Oscoda. Recreational use of the river is concentrated in the segment starting at Grayling and extending downstream to Wakeley Bridge, about 15 river miles. This report is concerned mainly with this part of the river.

  20. Simulation of streamflow and water quality in the Christina River subbasin and overview of simulations in other subbasins of the Christina River Basin, Pennsylvania, Maryland, and Delaware, 1994-98

    USGS Publications Warehouse

    Senior, Lisa A.; Koerkle, Edward H.

    2003-01-01

    The Christina River Basin drains 565 square miles (mi2) in Pennsylvania and Delaware and includes the major subbasins of Brandywine Creek, Red Clay Creek, White Clay Creek, and Christina River. The Christina River subbasin (exclusive of the Brandywine, Red Clay, and White Clay Creek subbasins) drains an area of 76 mi2. Streams in the Christina River Basin are used for recreation, drinking water supply, and support of aquatic life. Water quality in some parts of the Christina River Basin is impaired and does not support designated uses of the stream. A multi-agency water-quality management strategy included a modeling component to evaluate the effects of point- and nonpoint-source contributions of nutrients and suspended sediment on stream water quality. To assist in nonpoint-source evaluation, four independent models, one for each of the four main subbasins of the Christina River Basin, were developed and calibrated using the model code Hydrological Simulation Program–Fortran (HSPF). Water-quality data for model calibration were collected in each of the four main subbasins and in small subbasins predominantly covered by one land use following a nonpoint- source monitoring plan. Under this plan, stormflow and base-flow samples were collected during 1998 at two sites in the Christina River subbasin and nine sites elsewhere in the Christina River Basin.The HSPF model for the Christina River subbasin simulates streamflow, suspended sediment, and the nutrients, nitrogen and phosphorus. In addition, the model simulates water temperature, dissolved oxygen, biochemical oxygen demand, and plankton as secondary objectives needed to support the sediment and nutrient simulations. For the model, the basin was subdivided into nine reaches draining areas that ranged from 3.8 to 21.9 mi2. Ten different pervious land uses and two impervious land uses were selected for simulation. Land-use areas were determined from 1995 land-use data. The predominant land uses in the Christina

  1. Water levels, rapid vegetational changes, and the endangered Cape Sable seaside-sparrow

    USGS Publications Warehouse

    Nott, M.P.; Bass, O.L.; Fleming, D.M.; Killeffer, S.E.; Fraley, N.; Manne, L.; Curnutt, J.L.; Brooks, T.M.; Powell, R.; Pimm, S.L.

    1998-01-01

    The legally endangered Cape Sable seaside-sparrow (Ammodramus maritimus mirabilis) is restricted to short-hydroperiod, marl prairies within Florida's Everglades National Park and Big Cypress National Preserve. Marl prairies are typified by dense, mixed stands of graminoid species usually below 1 m in height, naturally inundated by freshwater for 3-7 months annually. Water levels affect the birds directly, by flooding their nests, and indirectly by altering the habitat on which they depend. Managed redistribution of water flows flooded nearly half of the sparrow's geographical range during several consecutive breeding seasons starting in 1993. Furthermore, these high water levels rapidly changed plant communities, so jeopardizing the sparrow's survival by reducing the availability of nesting habitat.

  2. Effects of groundwater pumping on agricultural drains in the Tule Lake subbasin, Oregon and California

    USGS Publications Warehouse

    Pischel, Esther M.; Gannett, Marshall W.

    2015-07-24

    To better define the effect of increased pumping on drain flow and on the water balance of the groundwater system, the annual water volume pumped from drains in three subareas of the Tule Lake subbasin was estimated and a fine-grid, local groundwater model of the Tule Lake subbasin was constructed. Results of the agricultural-drain flow analysis indicate that groundwater discharge to drains has decreased such that flows in 2012 were approximately 32,400 acre-ft less than the 1997–2000 average flow. This decrease was concentrated in the northern and southeastern parts of the subbasin, which corresponds with the areas of greatest groundwater pumping. Model simulation results of the Tule Lake subbasin groundwater model indicate that increased supplemental pumping is the dominant stress to the groundwater system in the subbasin. Simulated supplemental pumping and decreased recharge from irrigation between 2000 and 2010 totaled 323,573 acre-ft, 234,800 acre-ft (73 percent) of which was from supplemental pumping. The response of the groundwater system to this change in stress included about 180,500 acre-ft (56 percent) of decreased groundwater discharge to drains and a 126,000 acre-ft (39 percent) reduction in aquifer storage. The remaining 5 percent came from reduced groundwater flow to other model boundaries, including the Lost River, the Tule Lake sumps, and interbasin flow.

  3. Analyzing key ecological functions for transboundary subbasin assessments.

    Treesearch

    B.G Marcot; T.A. O' Neil; J.B. Nyberg; A. MacKinnon; P.J. Paquet; D.H. Johnson

    2007-01-01

    We present an evaluation of the ecological roles ("key ecological functions" or KEFs) of 618 wildlife species as one facet of subbasin assessment in the Columbia River basin (CRB) of the United States and Canada. Using a wildlife-habitat relationships database (IBIS) and geographic information system, we have mapped KEFs as levels of functional redundancy (...

  4. Secure & Restore Critical Fisheries Habitat, Flathead Subbasin, FY2008 Annual Report.

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    DuCharme, Lynn; Tohtz, Joel

    The construction of Hungry Horse Dam inundated 125 km of adfluvial trout habitat in the South Fork of the Flathead River and its tributaries, impacting natural fish reproduction and rearing. Rapid residential and commercial growth in the Flathead Watershed now threaten the best remaining habitats and restrict our opportunities to offset natural resource losses. Hydropower development and other land disturbances caused severe declines in the range and abundance of our focal resident fish species, bull trout and westslope cutthroat trout. Bull trout were listed as threatened in 1998 under the Endangered Species Act and westslope cutthroat were petitioned for listingmore » under ESA. Westslope cutthroat are a species of special concern in Montana and a species of special consideration by the Confederated Salish and Kootenai Tribes. The Secure & Protect Fisheries Habitat project follows the logical progression towards habitat restoration outlined in the Hungry Horse Dam Fisheries Mitigation Implementation Plan approved by the NWPPC in 1993. This project is also consistent with the 2000 Fish and Wildlife Program and the Flathead River Subbasin Plan that identifies the protection of habitats for these populations as one of the most critical needs in the subbasin and directs actions to offset habitat losses. The Flathead basin is one of the fastest growing human population centers in Montana. Riparian habitats are being rapidly developed and subdivided, causing habitat degradation and altering ecosystem functions. Remaining critical habitats in the Flathead Watershed need to be purchased or protected with conservation easements if westslope cutthroat and bull trout are to persist and expand within the subbasin. In addition, habitats degraded by past land uses need to be restored to maximize the value of remaining habitats and offset losses caused by the construction of Hungry Horse Dam. Securing and restoring remaining riparian habitat will benefit fish by shading and

  5. Tracing reclaimed water in the Menifee, Winchester, and Perris-South ground-water subbasins, Riverside County, California

    USGS Publications Warehouse

    Kaehler, Charles A.; Belitz, Kenneth

    2003-01-01

    As a component in the management of water resources in the Menifee, Winchester, and Perris-South subbasins in Riverside County, California, ponds are operated by the Eastern Municipal Water District for the temporary storage of reclaimed water that is produced by several regional water-reclamation facilities. A primary goal of this study was to evaluate the potential for using various ground-water constituents or characteristics as tracers of reclaimed water that has infiltrated from the storage ponds into the ground water in the three subbasins. A secondary goal was to estimate the degree to which the infiltrated reclaimed water has mixed with the native ground water. The evaluation of potential tracers and the estimation of mixing focused on data from wells located relatively close to the ponds. The most useful constituents and characteristics for evaluation of the fate and mixing of reclaimed water in the Menifee, Winchester, and Perris-South subbasins are major-ion composition, stable isotopes of hydrogen and oxygen, ultraviolet absorbance (UV-A), chloride concentration, and boron/chloride ratio plotted against chloride concentration. Emphasis in this study was placed on evaluating the utility of UV-A as a tracer and boron/chloride ratios in estimating the fraction of reclaimed water in ground water. In the Menifee subbasin, major-ion data, stable isotopes, chloride, UV-A, and boron/chloride ratio are all useful in identifying reclaimed water, and the results based on these indicators are consistent with each other. The results suggest that values of UV-A greater than or equal to 0.007 indicate the presence of reclaimed water in the Menifee subbasin. Ground-water samples with UV-A greater than 0.007 are estimated to consist of about 75 to 100 percent reclaimed water, on the basis of chloride-mixing calculations and boron/chloride-versus-chloride mixing calculations. In the Winchester subbasin, results based on the same factors used in the Menifee subbasin are

  6. Development of an integrated water resources management plan for the Lake Manyara sub-basin, Northern Tanzania

    NASA Astrophysics Data System (ADS)

    Ngana, J. O.; Mwalyosi, R. B. B.; Madulu, N. F.; Yanda, P. Z.

    Water resources management in Lake Manyara sub-basin is an issue of very high significance as the sub-basin hosts a number of national and global assets of great socio-cultural, ecological and economic values. The sub-basin comprise of a Biosphere Reserve with boosting tourism from Lake Manyara National Park with a variety of wildlife population, large livestock population and highly fertile land for agricultural production. The prevailing system of uncoordinated water resources management in the sub-basin cannot sustain the ever increasing water needs of the various expanding sectors, therefore a strategy must be sought to integrate the various sectoral needs against the available water resources in order to attain both economic and ecological sustainability. Through participatory approach with the stakeholders, the study has established key issues, demonstrated considerable experience in water resources management in the sub-basin including existence of water boards, water committees in some districts as well as land resources management practices However, a number of constraints were noted which inhibit sustainable water resources management including ignorance of water policies, conflicting sectoral policies, lack of coordination between sectors, high in migration rates into the basin, heavy in migration of livestock, conflicts between sectors, poor land use resulting in soil erosion and sedimentation, lack of comprehensive data base on water resources and water needs for : domestic, tourism, livestock, irrigation, wild life and environmental flows. As a way forward it was recommended that a basin wide legally mandated body (involving all levels) be established to oversee water use in the sub-basin. Other strategies include capacity building of stakeholders on water natural resources management policies, water rights and enforcement of laws. This progress report paper highlights the wealth of knowledge that stakeholders possess on water resources management and

  7. Sources of High-Chloride Water to Wells, Eastern San Joaquin Ground-Water Subbasin, California

    USGS Publications Warehouse

    Izbicki, John A.; Metzger, Loren F.; McPherson, Kelly R.; Everett, Rhett; Bennett, George L.

    2006-01-01

    As a result of pumping and subsequent declines in water levels, chloride concentrations have increased in water from wells in the Eastern San Joaquin Ground-Water Subbasin, about 80 miles east of San Francisco (Montgomery Watson, Inc., 2000). Water from a number of public-supply, agricultural, and domestic wells in the western part of the subbasin adjacent to the San Joaquin Delta exceeds the U.S. Environmental Protection Agency Secondary Maximum Contaminant Level (SMCL) for chloride of 250 milligrams per liter (mg/L) (fig. 1) (link to animation showing chloride concentrations in water from wells, 1984 to 2004). Some of these wells have been removed from service. High-chloride water from delta surface water, delta sediments, saline aquifers that underlie freshwater aquifers, and irrigation return are possible sources of high-chloride water to wells (fig. 2). It is possible that different sources contribute high-chloride water to wells in different parts of the subbasin or even to different depths within the same well.

  8. Oxygen and strontium isotope tracing of human migration at the Bell Beaker site Le Tumulus des Sables, France.

    NASA Astrophysics Data System (ADS)

    Willmes, Malte; James, Hannah; Boel, Ceridwen; Courtaud, Patrice; Chancerel, Antoine; McMorrow, Linda; Armstrong, Richard; Kinsley, Les; Aubert, Maxime; Eggins, Stephen; Moffat, Ian; Grün, Rainer

    2014-05-01

    Oxygen (δ18O) and strontium (87Sr/86Sr) isotopes were used as tools to investigate human migration at the early Bell Beaker site (2500-2000 BC) Le Tumulus des Sables, Saint-Laurent-Médoc, south-west France. The O and Sr isotope ratios measured in tooth enamel record the average dietary isotope signature ingested by that individual during their childhood. When this data is compared to the isotope signature of the burial site it can be used to indicate if the individual migrated into this area during their lifetime. The O isotopic composition of meteoric water changes depending on climate, temperature and quantity of precipitation. O isotope ratios in skeletal and dental remains are related to body water, which in turn is influenced by diet, physiology and climate. Most of the water consumed by large mammals comes from drinking water, typically sourced locally. Sr isotope ratios on the other hand vary between different geologic regions, depending on their age and composition. Sr is released through weathering and transported into the soil, ground and surface water, where it becomes available for uptake by plants, enters the food cycle and eventually ends up in skeletal and dental tissue where it substitutes for calcium. We analysed the teeth of 18 adult and 8 juvenile disarticulated skeletons from Le Tumulus des Sables. O isotopes were analysed in-situ by Sensitive High Resolution Ion Micro Probe (SHRIMP).The Sr isotope analysis involved drilling a 0.2-0.5 mg sample of enamel from the tooth. The Sr was then chemically separated and analysed by Thermal Ionization Mass Spectrometry (TIMS). These results were then compared to the O isoscape of Europe and bioavailable Sr isotope data (fauna, plants, soils) from the IRHUM database. We found that most of the individuals at Le Tumulus des Sables show O and Sr isotope ratios corresponding to the local environmental signal and we interpret these as part of the local population. 3 adults however show slightly higher 87Sr/86

  9. Population dynamics of the endangered Cape Sable seaside-sparrow

    USGS Publications Warehouse

    Curnutt, J.L.; Mayer, A.L.; Brooks, T.M.; Manne, L.; Bass, O.L.; Fleming, D.M.; Philip, Nott M.; Pimm, S.L.

    1998-01-01

    The Cape Sable seaside-sparrow (Ammodramus maritimus mirabilis) has disappeared from its only known breeding areas episodically since its discovery early this century. Systematic surveys across its range in the southern Everglades find the sparrow's range to be fragmented into six subpopulations. The sparrow population decreased by 58% between 1992 and 1995, with the near extinction of the western half of the population and the temporary local extinction of some eastern populations. Other similar grassland sparrows have populations that vary considerably from year to year. Yet the decline in the western subpopulation and the local extinction of some of the peripheral populations cannot be explained by natural variability alone. Hurricane Andrew passed over several subpopulations prior to the particularly poor year of 1993. However, the geographical and temporal patterns of subpopulation decline are not consistent with what would be expected following a hurricane. Frequent fires prevent successful breeding as does flooding during the breeding season. Better management can prevent frequent fires and episodic flooding. However, the long-term survival of the sparrow depends on managing the unanticipated risks that attend its small, fragmented population.

  10. Phosphorus and E. coli in the Fanno and Bronson Creek subbasins of the Tualatin River basin, Oregon, during summer low-flow conditions, 1996

    USGS Publications Warehouse

    McCarthy, Kathleen A.

    2000-01-01

    As part of an ongoing cooperative study between the Unified Sewerage Agency of Washington County, Oregon, and the U.S. Geological Survey, phosphorus and Escherichia coli (E. coli) concentrations were measured in the Fanno and Bronson Creek subbasins of the Tualatin River Basin during September 1996. Data were collected at 19 main-stem and 22 tributary sites in the Fanno Creek subbasin, and at 14 main-stem and 4 tributary sites in the Bronson Creek subbasin. These data provided the following information on summer base-flow conditions in the subbasins. Concentrations of total phosphorus at 70% of the sites sampled in the Fanno Creek subbasin were between 0.1 and 0.2 mg/L (milligrams per liter), very near the estimated background level of 0.14 mg/L attributed to ground-water base flow. These data indicate that ground-water discharge could account for the phosphorus measured at most sites in this subbasin.Concentrations of phosphorus at all but one of the sites sampled in the Bronson Creek subbasin were also between 0.1 and 0.2 mg/L, indicating that ground-water discharge could account for the phosphorus measured at most sites in this subbasin.A few sites in the Fanno Creek subbasin had phosphorus concentrations above background levels, indicating a source other than ground water. Some of these sites- Pendleton Creek and the tributary near Gemini, for example-were probably affected by the decomposition of avian waste materials and the release of phosphorus from bottom sediments in nearby ponds.Concentrations of E. coli--an indicator of fecal contamination and the potential presence of bacterial pathogens-exceeded the current single-sample criterion for recreational contact in freshwater (406 organisms/100 mL [organisms per 100 milliliters]) at 70% of the sites sampled in the Fanno Creek subbasin.Concentrations of E. coli in the Bronson Creek subbasin exceeded the single-sample criterion at one-third of the sites sampled.Most occurrences of elevated E. coli levels were

  11. Fracture overprinting history using Markov chain analysis: Windsor-Kennetcook subbasin, Maritimes Basin, Canada

    NASA Astrophysics Data System (ADS)

    Snyder, Morgan E.; Waldron, John W. F.

    2018-03-01

    The deformation history of the Upper Paleozoic Maritimes Basin, Atlantic Canada, can be partially unraveled by examining fractures (joints, veins, and faults) that are well exposed on the shorelines of the macrotidal Bay of Fundy, in subsurface core, and on image logs. Data were collected from coastal outcrops and well core across the Windsor-Kennetcook subbasin, a subbasin in the Maritimes Basin, using the circular scan-line and vertical scan-line methods in outcrop, and FMI Image log analysis of core. We use cross-cutting and abutting relationships between fractures to understand relative timing of fracturing, followed by a statistical test (Markov chain analysis) to separate groups of fractures. This analysis, previously used in sedimentology, was modified to statistically test the randomness of fracture timing relationships. The results of the Markov chain analysis suggest that fracture initiation can be attributed to movement along the Minas Fault Zone, an E-W fault system that bounds the Windsor-Kennetcook subbasin to the north. Four sets of fractures are related to dextral strike slip along the Minas Fault Zone in the late Paleozoic, and four sets are related to sinistral reactivation of the same boundary in the Mesozoic.

  12. Red River of the North Reconnaissance Report: Buffalo River Subbasin.

    DTIC Science & Technology

    1980-12-01

    Flood Damages....oo........ 09 Environental Con eornso. **.o . . # 12 Recreation Problems . . . 0 . . . . . . . . . . . 13 Water Quality Proble s...Wastewater Management . . . . o o . . . . . . 0 . 16 IPublic Perception of Problem and Solutions. . o * * 18 IV DESCRIPTION OF SUBBASIN RESOURCES...Wildlife Management Areas. .... . . 0 . . . 48 Threatened or Endangered Species . . . . . . . . 48 other Important Species. .. .. .. .. . .. 50 Natural

  13. Hydrogeologic controls and geochemical indicators of groundwater movement in the Niles Cone and southern East Bay Plain groundwater subbasins, Alameda County, California

    USGS Publications Warehouse

    Teague, Nicholas F.; Izbicki, John A.; Borchers, Jim; Kulongoski, Justin T.; Jurgens, Bryant C.

    2018-02-01

    Beginning in the 1970s, Alameda County Water District began infiltrating imported water through ponds in repurposed gravel quarries at the Quarry Lakes Regional Park, in the Niles Cone groundwater subbasin, to recharge groundwater and to minimize intrusion of saline, San Francisco Bay water into freshwater aquifers. Hydraulic connection between distinct aquifers underlying Quarry Lakes allows water to recharge the upper aquifer system to depths of 400 feet below land surface, and the Deep aquifer to depths of more than 650 feet. Previous studies of the Niles Cone and southern East Bay Plain groundwater subbasins suggested that these two subbasins may be hydraulically connected. Characterization of storage capacities and hydraulic properties of the complex aquifers and the structural and stratigraphic controls on groundwater movement aids in optimal storage and recovery of recharged water and provides information on the ability of aquifers shared by different water management agencies to fulfill competing storage and extraction demands. The movement of recharge water through the Niles Cone groundwater subbasin from Quarry Lakes and the possible hydraulic connection between the Niles Cone and the southern East Bay Plain groundwater subbasins were investigated using interferometric synthetic aperture radar (InSAR), water-chemistry, and isotopic data, including tritium/helium-3, helium-4, and carbon-14 age-dating techniques.InSAR data collected during refilling of the Quarry Lakes recharge ponds show corresponding ground-surface displacement. Maximum uplift was about 0.8 inches, reasonable for elastic expansion of sedimentary materials experiencing an increase in hydraulic head that resulted from pond refilling. Sodium concentrations increase while calcium and magnesium concentrations in groundwater decrease along groundwater flowpaths from the Niles Cone groundwater subbasin through the Deep aquifer to the northwest toward the southern East Bay Plain groundwater

  14. Observed changes in extremes of daily rainfall and temperature in Jemma Sub-Basin, Upper Blue Nile Basin, Ethiopia

    NASA Astrophysics Data System (ADS)

    Worku, Gebrekidan; Teferi, Ermias; Bantider, Amare; Dile, Yihun T.

    2018-02-01

    Climate variability has been a threat to the socio-economic development of Ethiopia. This paper examined the changes in rainfall, minimum, and maximum temperature extremes of Jemma Sub-Basin of the Upper Blue Nile Basin for the period of 1981 to 2014. The nonparametric Mann-Kendall, seasonal Mann-Kendall, and Sen's slope estimator were used to estimate annual trends. Ten rainfall and 12 temperature indices were used to study changes in rainfall and temperature extremes. The results showed an increasing trend of annual and summer rainfall in more than 78% of the stations and a decreasing trend of spring rainfall in most of the stations. An increase in rainfall extreme events was detected in the majority of the stations. Several rainfall extreme indices showed wetting trends in the sub-basin, whereas limited indices indicated dryness in most of the stations. Annual maximum and minimum temperature and extreme temperature indices showed warming trend in the sub-basin. Presence of extreme rainfall and a warming trend of extreme temperature indices may suggest signs of climate change in the Jemma Sub-Basin. This study, therefore, recommended the need for exploring climate induced risks and implementing appropriate climate change adaptation and mitigation strategies.

  15. Modelling uncertainties and possible future trends of precipitation and temperature for 10 sub-basins in Columbia River Basin (CRB)

    NASA Astrophysics Data System (ADS)

    Ahmadalipour, A.; Rana, A.; Qin, Y.; Moradkhani, H.

    2014-12-01

    Trends and changes in future climatic parameters, such as, precipitation and temperature have been a central part of climate change studies. In the present work, we have analyzed the seasonal and yearly trends and uncertainties of prediction in all the 10 sub-basins of Columbia River Basin (CRB) for future time period of 2010-2099. The work is carried out using 2 different sets of statistically downscaled Global Climate Model (GCMs) projection datasets i.e. Bias correction and statistical downscaling (BCSD) generated at Portland State University and The Multivariate Adaptive Constructed Analogs (MACA) generated at University of Idaho. The analysis is done for with 10 GCM downscaled products each from CMIP5 daily dataset totaling to 40 different downscaled products for robust analysis. Summer, winter and yearly trend analysis is performed for all the 10 sub-basins using linear regression (significance tested by student t test) and Mann Kendall test (0.05 percent significance level), for precipitation (P), temperature maximum (Tmax) and temperature minimum (Tmin). Thereafter, all the parameters are modelled for uncertainty, across all models, in all the 10 sub-basins and across the CRB for future scenario periods. Results have indicated in varied degree of trends for all the sub-basins, mostly pointing towards a significant increase in all three climatic parameters, for all the seasons and yearly considerations. Uncertainty analysis have reveled very high change in all the parameters across models and sub-basins under consideration. Basin wide uncertainty analysis is performed to corroborate results from smaller, sub-basin scale. Similar trends and uncertainties are reported on the larger scale as well. Interestingly, both trends and uncertainties are higher during winter period than during summer, contributing to large part of the yearly change.

  16. Wind River subbasin restoration: U.S. Geological Survey annual report November 2012 through December 2013

    USGS Publications Warehouse

    Jezorek, Ian G.; Connolly, Patrick J.

    2014-01-01

    Evaluating restoration efforts is of interest to many managers and agencies so that funding and time are allocated for best results. The evaluation of various life-histories of Lower Columbia River steelhead within the Wind River subbasin will provide information to better track populations, and to direct habitat restoration and water allocation planning. Increasingly detailed Viable Salmonid Population information, such as that provided by PIT-tagging and instream PTISs networks like those we are building and operating in the Wind River subbasin, will provide data to inform policy and management, as life-history strategies and production bottlenecks are identified and understood.

  17. A survey of the carbonate system in the Levantine Mediterranean Sub-basin

    NASA Astrophysics Data System (ADS)

    El Rahman Hassoun, Abed; Gemayel, Elissar; Abboud-Abi Saab, Marie

    2016-04-01

    The carbonate system is very important since it regulates the pH of the seawater and controls the circulation of CO2 between the various natural reservoirs. Recently, several oceanographic cruises have been carried out to assess this system in the Mediterranean Sea. However, the measurements undertaken to quantify the carbonate system parameters in the Levantine Sub-basin remain scarce and occasional. In our study, we are compiling the occasional data taken near Lebanon and surveying the carbonate system in the Lebanese seawaters for the first time by fixing two stations off the Lebanese coast to study the monthly and annual variations of this system through the water column. The dominant processes changing the carbonate chemistry of a seawater can be described by considering changes in the total alkalinity (AT) and the total dissolved inorganic carbon (CT). To measure these parameters, the collected seawater samples are titrated via potentiometric acid titration using a closed cell (DOE, 1994). Further, the temperature and the salinity are measured in situ. Dissolved oxygen concentrations are measured using a Winkler iodometric titration. Nutrients (phosphates, nitrates, nitrites), chlorophyll a and phytoplankton populations are also studied. The compilation of the carbonate system data taken from the cruises conducted near Cyprus (MedSeA 2013, Meteor 84-3, BOUM, Meteor 51-2) indicate that the AT and CT averages are equal to 2617 ±15 and 2298 ± 9 μmol kg-1 respectively, showing high AT and CT concentrations compared to those measured in other Mediterranean sub-basins. Our survey will provide a brand new dataset that will be useful to better comprehend the carbonate system in the Mediterranean Sea in general and the actual situation of the water masses formation in the Levantine Sub-basin after the Eastern Mediterranean Transient (EMT) in particular. Moreover, this work will permit us to estimate the air-sea fluxes and to estimate the anthropogenic CO2

  18. Radiocarbon Ages and Environments of Deposition of the Wono and Trego Hot Springs Tephra Layers in the Pyramid Lake Subbasin, Nevada

    USGS Publications Warehouse

    Benson, L.V.; Smoot, J.P.; Kashgarian, Michaele; Sarna-Wojcicki, A.; Burdett, J.W.

    1997-01-01

    Uncalibrated radiocarbon data from core PLC92B taken from Wizards Cove in the Pyramid Lake subbasin indicate that the Trego Hot Springs and Wono tephra layers were deposited 23,200 ?? 300 and 27,300 ??300 14C yr B.P. (uncorrected for reservoir effect). Sedimentological data from sites in the Pyramid Lake and Smoke Creek-Black Rock Desert subbasins indicate that the Trego Hot Springs tephra layer was deposited during a relatively dry period when Pyramid Lake was at or below its spill point (1177 m) to the Winnemucca Lake subbasin. The Wono tephra layer was deposited when lake depth was controlled by spill across Emerson Pass sill (1207 m) to the Smoke Creek-Black Rock Desert subbasin. 18O data from core PLC92B also support the concept that the Trego Hot Springs tephra fell into a relatively shallow Pyramid Lake and that the Wono tephra fell into a deeper spilling lake. ?? 1997 University of Washington.

  19. Maple River Subbasin, Red River of the North Reconnaissance Report.

    DTIC Science & Technology

    1980-12-01

    slopes are steepest, sheet and gully erosion occurs. This sometimes causes drainage fills and, in some cases, covering of crops . Damages from...which covers all natural disasters including floods. However, actual crop damages could be reduced only to the extent that intensive farming practices...within the subbasin. 8. The potentiality for land treatment measures (e.g., erosion control measures such as cover crops , green belts, reduction in

  20. Simulation of groundwater flow and the interaction of groundwater and surface water in the Willamette Basin and Central Willamette subbasin, Oregon

    USGS Publications Warehouse

    Herrera, Nora B.; Burns, Erick R.; Conlon, Terrence D.

    2014-01-01

    Full appropriation of tributary streamflow during summer, a growing population, and agricultural needs are increasing the demand for groundwater in the Willamette Basin. Greater groundwater use could diminish streamflow and create seasonal and long-term declines in groundwater levels. The U.S. Geological Survey (USGS) and the Oregon Water Resources Department (OWRD) cooperated in a study to develop a conceptual and quantitative understanding of the groundwater-flow system of the Willamette Basin with an emphasis on the Central Willamette subbasin. This final report from the cooperative study describes numerical models of the regional and local groundwater-flow systems and evaluates the effects of pumping on groundwater and surface‑water resources. The models described in this report can be used to evaluate spatial and temporal effects of pumping on groundwater, base flow, and stream capture. The regional model covers about 6,700 square miles of the 12,000-square mile Willamette and Sandy River drainage basins in northwestern Oregon—referred to as the Willamette Basin in this report. The Willamette Basin is a topographic and structural trough that lies between the Coast Range and the Cascade Range and is divided into five sedimentary subbasins underlain and separated by basalts of the Columbia River Basalt Group (Columbia River basalt) that crop out as local uplands. From north to south, these five subbasins are the Portland subbasin, the Tualatin subbasin, the Central Willamette subbasin, the Stayton subbasin, and the Southern Willamette subbasin. Recharge in the Willamette Basin is primarily from precipitation in the uplands of the Cascade Range, Coast Range, and western Cascades areas. Groundwater moves downward and laterally through sedimentary or basalt units until it discharges locally to wells, evapotranspiration, or streams. Mean annual groundwater withdrawal for water years 1995 and 1996 was about 400 cubic feet per second; irrigation withdrawals

  1. Red River of the North, Reconnaissance Report: Main Stem Subbasin.

    DTIC Science & Technology

    1980-12-01

    total subbasin land area. The bottomland hardwood forests which survived agricultural land clearing operations are confined today to corridors along...impair many of its uses such as recreation, 16 stock watering, and fish and wildife propagation (North Dakota Public Health Service, 1978; Upper... corridor for animals moving north and south along the Red River. Forests afford breeding and nesting areas for birds and rank second only 2to wetlands

  2. Mineralogical characteristics of Cretaceous-Tertiary kaolins of the Douala Sub-Basin, Cameroon

    NASA Astrophysics Data System (ADS)

    Bukalo, Nenita N.; Ekosse, Georges-Ivo E.; Odiyo, John O.; Ogola, Jason S.

    2018-05-01

    As a step in evaluating the quality of Cretaceous-Tertiary kaolins of the Douala Sub-Basin, their mineralogical characteristics were determined. The X-ray diffractometry technique was used to identify and quantify the mineral phases present in bulk and <2 μm fractions. Scanning electron microscopy was used to determine the micromorphology of <2 μm fractions kaolins. Thermal analyses (derivative thermal gravimetric analysis, thermal gravimetric analysis, and heat flow) were conducted to further characterise the kaolins. The main mineral phases present in the studied Cretaceous-Tertiary kaolins of the Douala Sub-Basin were kaolinite > smectite > illite, with mean values of 33.01 > 11.20 > 4.41 wt %; and 72.23 > 10.69 > 4.69 wt %, in bulk and <2 μm fractions, respectively. The kaolins, micromorphologically, consisted of pseudo-hexagonal and thin platy particles; swirl-textured particles; and books or stacks of kaolinite particles. Three main reactions occurred during heating of the kaolins: a low temperature endothermic reaction, observed between 48 and 109 °C; a second low temperature peak, observed between 223 and 285 °C; and a third endothermic peak was found between 469 and 531 °C. In addition, an exothermic reaction also occurred between 943 and 988 °C in some of the samples. The absence of primary minerals such as feldspars and micas in most of these kaolins is an indication of intensive weathering, probably due to the humid tropical climate of the region. The different morphologies suggested that these kaolins might have been transported. Therefore, a humid tropical climate was responsible for the formation of Cretaceous-Tertiary kaolins of the Douala Sub-Basin through intense weathering of surrounding volcanic and metamorphic rocks.

  3. Prioritizing Restoration in the Hangman Creek Watershed: Predicting Baseflow through Sub-basin Modeling

    NASA Astrophysics Data System (ADS)

    Navickis-Brasch, A. S.; Fiedler, F. R.

    2013-12-01

    Land use changes since European settlement have significantly impaired the beneficial uses of Coeur d'Alene (CDA) Tribe water bodies in the Hangman Creek watershed. The cumulative impacts have resulted in a 303 (d) designation by the Environmental Protection Agency (EPA), extirpated the only salmon run on the reservation, and reduced tributary connectivity by isolating many native fish populations. Considering salmon were an essential part of tribal identity and cultural activities, the tribe initiated a 100-year management plan to restore the 155,000-acre portion of the Hangman Creek watershed located on the CDA reservation. The restoration management plan focuses on sustaining subsistence and cultural activities by reestablishing stream connectivity and providing sustainable aquatic habitats as well as restoring watershed processes and improving water quality. Ultimately, the restoration goal is to improve the habitat suitability of Hangman Creek for the eventual return of salmon. To accomplish these goals, it is essential to prioritize and sequence activities that most effectively support restoration. While watershed modeling provides a commonly accepted holistic approach to simulating watershed responses, it appears the effectiveness of models in predicting restoration success, particularly with respect to the effects of restoration on baseflow, have not been well documented. In addition, creating a representative watershed model capable of accounting for a watershed scale spatial and temporal variability generally requires extensive field measurements. This presents a challenge for developing a model of Hangman Creek, since the watershed is mostly ungauged with only limited data available at a few monitoring sites. Our approach to developing a restoration prioritization plan is to first model a subbasin in the watershed with similar characteristics and restoration goals, then utilize the subbasin model to project future baseflow responses in the larger

  4. The Oceanic Crustal Structure of the Southwestern Subbasin in the South China Sea

    NASA Astrophysics Data System (ADS)

    Wu, Z.; Ruan, A.; Li, J.; Lee, C.

    2012-12-01

    Located at the southwestern part of the South China Sea (SCS) among the Zhongsha Islands(Macclesfield Bank), the east subbasin, the Nansha Islands(Dangerous Ground), the V type southwest subbasin (SWSB) is an unique ocean basin in all the three subbasins of SCS. The crustal structure is one of the key problems to study the formation and evolution of SWSB. During December 2010 to March 2011, Ocean Bottom Seismometers (OBSs) experiment has been carried out in the SWSB to get the deep crustal structure information, especially under the fossil spreading center. Three types of OBS, Sedis IV type, I-4C type and MicrOBS type have been used in the experiment, and the energy source was supplied by 6000 inch3 large volume air-gun. High quality seismic data of four 2D profiles which covered the fossil spreading center of SWSB have been acquired. The data of the experiment can supply evidence for the study of oceanic crustal structure of the SWSB and seafloor spreading course, etc. The profile 1 extended 130 km in length. A total of 8 OBSs were deployed at intervals of 10 or 15 km and 7 OBSs were recovered. The data of the 7 stations of profile 1 have been processed, which shows that the seismic records are clear and seismic phases are abundance, and the air-guns have enough energy supply. The velocity model was obtained by using an interactive trial-and-error 2D ray-tracing method. The crustal structure indicates that the crustal thickness under the SWSB is about 6 km, and the moho depth is about 10km. The results reveal that the crust of SWSB is normal oceanic crust with a thin sedimentary layer on the seamount and shallow moho surface. The crustal velocity under the spreading center is extremely low, which shows the characteristic of the deep crustal structure of the fossil spreading center. Acknowledgements This study was supported by the National Natural Science Foundation of China (Grant No. 91028006, 41106053, 41176046), Scientific Research Fund of the Second Institute

  5. Streamflow and Nutrient Fluxes of the Mississippi-Atchafalaya River Basin and Subbasins for the Period of Record Through 2005

    USGS Publications Warehouse

    Aulenbach, Brent T.; Buxton, Herbert T.; Battaglin, William A.; Coupe, Richard H.

    2007-01-01

    U.S. Geological Survey has monitored streamflow and water quality systematically in the Mississippi-Atchafalaya River Basin (MARB) for more than five decades. This report provides streamflow and estimates of nutrient delivery (flux) to the Gulf of Mexico from both the Atchafalaya River and the main stem of the Mississippi River. This report provides streamflow and nutrient flux estimates for nine major subbasins of the Mississippi River. This report also provides streamflow and flux estimates for 21 selected subbasins of various sizes, hydrology, land use, and geographic location within the Basin. The information is provided at each station for the period for which sufficient water-quality data are available to make statistically based flux estimates (starting as early as water year1 1960 and going through water year 2005). Nutrient fluxes are estimated using the adjusted maximum likelihood estimate, a type of regression-model method; nutrient fluxes to the Gulf of Mexico also are estimated using the composite method. Regression models were calibrated using a 5-year moving calibration period; the model was used to estimate the last year of the calibration period. Nutrient flux estimates are provided for six water-quality constituents: dissolved nitrite plus nitrate, total organic nitrogen plus ammonia nitrogen (total Kjeldahl nitrogen), dissolved ammonia, total phosphorous, dissolved orthophosphate, and dissolved silica. Additionally, the contribution of streamflow and net nutrient flux for five large subbasins comprising the MARB were determined from streamflow and nutrient fluxes from seven of the aforementioned major subbasins. These five large subbasins are: 1. Lower Mississippi, 2. Upper Mississippi, 3. Ohio/Tennessee, 4. Missouri, and 5. Arkansas/Red.

  6. Offshore medicine.

    PubMed

    Baker, D

    2001-03-01

    Offshore life can be refreshing for medics who are looking for a little change of pace; however, it is not for everyone. Working offshore can be the easiest or most boring job you'll ever have. It takes a specific type of medic to fit this mold. So, if you are considering a career in the offshore field, take all of the above into consideration. You are not just making a change in jobs, but a change in lifestyle. Once you become accustomed to this lifestyle, it will be hard to go back to the everyday hustle and bustle of the streets. For more information about working offshore, contact Acadian Contract Services at 800/259-333, or visit www.acadian.com.

  7. Data-based discharge extrapolation: estimating annual discharge for a partially gauged large river basin from its small sub-basins

    NASA Astrophysics Data System (ADS)

    Gong, L.

    2013-12-01

    Large-scale hydrological models and land surface models are by far the only tools for accessing future water resources in climate change impact studies. Those models estimate discharge with large uncertainties, due to the complex interaction between climate and hydrology, the limited quality and availability of data, as well as model uncertainties. A new purely data-based scale-extrapolation method is proposed, to estimate water resources for a large basin solely from selected small sub-basins, which are typically two-orders-of-magnitude smaller than the large basin. Those small sub-basins contain sufficient information, not only on climate and land surface, but also on hydrological characteristics for the large basin In the Baltic Sea drainage basin, best discharge estimation for the gauged area was achieved with sub-basins that cover 2-4% of the gauged area. There exist multiple sets of sub-basins that resemble the climate and hydrology of the basin equally well. Those multiple sets estimate annual discharge for gauged area consistently well with 5% average error. The scale-extrapolation method is completely data-based; therefore it does not force any modelling error into the prediction. The multiple predictions are expected to bracket the inherent variations and uncertainties of the climate and hydrology of the basin. The method can be applied in both un-gauged basins and un-gauged periods with uncertainty estimation.

  8. Formation of post-spreading volcanic ridges in the East sub-basin of the South China Sea

    NASA Astrophysics Data System (ADS)

    He, E.; Zhao, M.; Sibuet, J. C.; Tan, P.; Wang, J.; Qiu, X.

    2016-12-01

    In the South China Sea (SCS), the post-spreading magmatism ( 3-13 Ma) largely masks the initial seafloor spreading fabric. The resulting post-spreading seamounts are more numerous in the northern part than in the southern part of the East sub-basin. In the eastern part of the East sub-basin, the post-spreading volcanic ridge (PSVR) is approximately N055° oriented and follows the extinct spreading ridge (ESR). In the western part of the East sub-basin, the PSVR, called the Zhenbei-Huangyan seamounts chain, is E-W oriented and hides the ESR (Sibuet et al., 2016). We conducted a seismic refraction survey covering both the Zhenbei-Huangyan seamount chain and the location of the adjacent ESR. Three E-W oriented profiles and one N-S oriented profile are parallel and perpendicular to the Zhenbei-Huangyan seamounts chain, respectively. Our research is focused on the understanding of the relationship between the crustal thicknesses and crustal seismic velocities. The detailed velocity structure shows that the Zhenbei-Huangyan seamount chain was emplaced through a typical oceanic crust. Crustal thicknesses and seismic velocities suggest an asymmetric generation of seamounts in the East sub-basin, where active upwelling mantle (Holbrook et al., 2001) or buoyancy-driven decompression melting happened (Castillo et al., 2010). The Zhenbei and Huangyan seamounts were probably formed 3-5 Ma and 7-9 Ma, after seafloor spreading cessation; their thickened lower crusts were probably due to magmatic intrusions associated with a high-velocity layer (7.4-7.6 km/s),and their large thickness of upper crust were mainly due to volcanic extrusions. These two seamounts presents a different structural orientation and their crustal thicknesses are different, suggesting an independent origin for their magmatic feeding. This research was granted by the Natural Science Foundation of China (91428204, 91028002, 41176053).

  9. Wind River subbasin restoration: Annual report of U.S. Geological Survey activities January 2014 through December 2014

    USGS Publications Warehouse

    Jezorek, Ian G.; Connolly, Patrick J.

    2015-01-01

    Evaluating restoration efforts is of interest to many managers and agencies so that funding and time are allocated for best results. The evaluation of various life-histories of Lower Columbia River steelhead within the Wind River subbasin provides information to better track populations, and more effectively direct habitat restoration and water allocation planning. Increasingly detailed Viable Salmonid Population information (Crawford and Rumsey 2009), such as that provided by PIT-tagging and instream PTISs networks like those we build and operate in the Wind River subbasin, provide data to better inform policy and management, as life-history strategies and production bottlenecks are identified and understood.

  10. Isotopic reconstruction of ancient human migrations: A comprehensive Sr isotope reference database for France and the first case study at Tumulus de Sables, south-western France

    NASA Astrophysics Data System (ADS)

    Willmes, M.; Boel, C.; Grün, R.; Armstrong, R.; Chancerel, A.; Maureille, B.; Courtaud, P.

    2012-04-01

    Strontium isotope ratios (87Sr/86Sr) can be used for the reconstruction of human and animal migrations across geologically different terrains. Sr isotope ratios in rocks are a product of age and composition and thus vary between geologic units. From the eroding environment Sr is transported into the soils, plants and rivers of a region. Humans and animals incorporate Sr from their diet into their bones and teeth, where it substitutes for calcium. Tooth enamel contains Sr isotope signatures acquired during childhood and is most resistant to weathering and overprinting, while the dentine is often diagenetically altered towards the local Sr signature. For the reconstruction of human and animal migrations the tooth enamel 87Sr/86Sr ratio is compared to the Sr isotope signature in the vicinity of the burial site and the surrounding area. This study focuses on the establishment of a comprehensive reference map of bioavailable 87Sr/86Sr ratios for France. In a next step we will compare human and animal teeth from key archaeological sites to this reference map to investigate mobility. So far, we have analysed plant and soil samples from ~200 locations across France including the Aquitaine basin, the western and northern parts of the Paris basin, as well as three transects through the Pyrenees Mountains. The isotope data, geologic background information (BRGM 1:1M), field images, and detailed method descriptions are available through our online database iRhum (http://rses.anu.edu.au/research/ee). This database can also be used in forensic studies and food sciences. As an archaeological case study teeth from 16 adult and 8 juvenile individuals were investigated from an early Bell Beaker (2500-2000 BC) site at Le Tumulus des Sables, south-west France (Gironde). The teeth were analysed for Sr isotope ratios using laser ablation ICP-MS. Four teeth were also analysed using solution ICP-MS, which showed a significant offset to the laser ablation results. This requires further

  11. Offshore Wind Energy

    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

  12. Rainfall-Driven Diffusive Hydrograph and Runoff Model for Two Sub-Basins within the Arroyo Colorado in South Texas.

    NASA Astrophysics Data System (ADS)

    Ball, M. C.; Al-Qudah, O.; Jones, K.

    2017-12-01

    The Arroyo Colorado, located within the Rio Grande Valley of South Texas, has been on the list for the State of Texas's most impaired rivers since the 1990's. Few models for the watershed discharge and contaminates transport have been developed, but all require specialized understanding of modeling and input data which must either be assumed, estimated or which is difficult, time-consuming and expensive to collect. It makes sense to see if a general, simpler `catchment-scale' lumping model would be feasible to model water discharge along the Arroyo. Due to its simplicity and the hypothesized diffusive nature of the drainage in the alluvial floodplain deposits of the Arroyo watershed, the Criss and Winston model was chosen for this study. Hydrographs were characterized, clearly demonstrating that the discharge to the Arroyo is greatly affected by precipitation, and which provided clear rain events for evaluation: 62 rain events over a ten-year time span (2007 - 2017) were selected. Best fit curves using the Criss and Winston lag time were plotted, but better fitting curves were created by modifying the Criss and Winston lag time which improved the fit for the rising limb portion of the hydrograph but had no effect on the receding limb portion of the graph. This model provided some insights into the nature of water transport along the Arroyo within two separate sub-basins: El Fuste and Harlingen. The value for the apparent diffusivity constant "b", a constant which encompasses all diffusive characteristics of the watershed or sub-basins in the watershed (i.e. the lumping constant), was calculated to be 0.85 and 0.93 for El Fuste and Harlingen, respectively, indicating that each sub-basin within the watershed is somewhat unique. Due to the lumping nature of the "b" constant, no specific factor can be attributed to this difference. More research could provide additional insight. It is suggested that water diffusion takes longer in the Harlingen sub-basin (larger "b

  13. Red River of the North Reconnaissance Report: Sand Hill River Subbasin.

    DTIC Science & Technology

    1980-12-01

    Reservation. As the river traverses the beach ridge area, the width of the floodplain narrows markedly to a distance of no more than a quarter mile...studies are needed to determine its relative abundance and distribution. The Canadian toad and great plains toad , both recorded from the subbasin, are of...Beltrami and straightening and enlargement of the Sand Hill River and Sand Hill Ditch channel starting about 13 miles above the mouth to a point about six

  14. Summary of Carbon Storage Incentives and Potential Legislation: East Sub-Basin Project Task 3.1 Business and Financial Case Study

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Trabucchi, Chiara

    The CarbonSAFE Illinois – East Sub-Basin project is conducting a pre-feasibility assessment for commercial-scale CO2 geological storage complexes. The project aims to identify sites capable of storing more than 50 million tons of industrially-sourced CO2. To support the business development assessment of the economic viability of potential sites in the East Sub-Basin and explore conditions under which a carbon capture and storage (CCS) project therein might be revenue positive, this document provides a summary of carbon storage incentives and legislation of potential relevance to the project.

  15. Temporal and spatial constraints on the evolution of a Rio Grande rift sub-basin, Guadalupe Mountain area, northern New Mexico

    NASA Astrophysics Data System (ADS)

    Thompson, R. A.; Turner, K. J.; Cosca, M. A.; Drenth, B.; Hudson, M. R.; Lee, J.

    2013-12-01

    The Taos Plateau volcanic field (TPVF) in the southern San Luis Valley of northern New Mexico is the most voluminous of the predominantly basaltic Neogene (6-1 Ma) volcanic fields of the Rio Grande rift. Volcanic deposits of the TPVF are intercalated with alluvial deposits of the Santa Fe Group and compose the N-S-trending San Luis Basin, the largest basin of the northern rift (13,500 km2 in area). Pliocene volcanic rocks of the Guadalupe Mountain area of northern New Mexico are underlain by the southern end of one of the larger sub-basins of the San Luis Valley, the Sunshine sub-basin (~ 450 km2 in area) juxtaposed against the down-to-west frontal fault of the Precambrian-cored Sangre de Cristo Range. The sub-basin plunges northward and extends to near the Colorado-New Mexico border. The western margin (~15 km west of the Sangre de Cristo fault) is constrained by outcrops of Oligocene to Miocene volcanic rocks of the Latir volcanic field, interpreted here as a broad pre-Pliocene intra-rift platform underlying much of the northern TPVF. The southern sub-basin border is derived, in part, from modeling of gravity and aeromagnetic data and is interpreted as a subsurface extension of this intra-rift platform that extends southeastward to nearly the Sangre de Cristo range front. Broadly coincident with this subsurface basement high is the northwest-trending, curvilinear terminus of the down-to-northeast Red River fault zone. South of the gravity high, basin-fill alluvium and ~3.84 Ma Servilleta basalt lava flows thicken along a poorly exposed, down-to-south, basin-bounding fault of the northern Taos graben, the largest of the San Luis Valley sub-basins. The uppermost, western sub-basin fill is exposed along steep canyon walls near the confluence of the Rio Grande and the Red River. Unconformity-bound, lava flow packages are intercalated with paleo Red River fan alluvium and define six eruptive sequences in the Guadalupe Mountain area: (1) Guadalupe Mtn. lavas (dacite ~5

  16. Getting offshoring right.

    PubMed

    Aron, Ravi; Singh, Jitendra V

    2005-12-01

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

  17. Evaluation of water quality in the Rimac River Basin of Peru: Huaycoloro urban subbasin

    NASA Astrophysics Data System (ADS)

    Baldeón Quispe, W.; Vela Cardich, R.; Huamán Paredes, F.

    2013-05-01

    In Peru, the increasing water scarcity and quality deterioration caused public health problems and deterioration of ecosystems that are exacerbated during periods of drought. The most populated basin is the Rimac River which rises in the Andes, between 4000 and 6000 meters and flow into the Pacific Ocean. This basin has pollution problems and a clear example is the Huaycoloro urban subbasin that originated in 2005, the creation of multi-sectoral technical committee for the recovery of health and environmental quality of the Huaycoloro subbasin (DIGESA, 2006a). The objective of this work is the need to generate and evaluate information on water quality in the Huaycoloro subbasin, quantifying physicochemical and microbiological parameters in four monitoring stations for a period from October 1, 2006 to April 24, 2010. The monitoring was conducted in the dry season because the Huaycoloro subbasin is a dry riverbed and therefore this is the critical period for evaluation. Initially samples were taken every two weeks during the months of October and November 2006. In 2007 were sampled monthly in April, June and September. In the years 2008, 2009 and 2010 surveys were conducted once a year, in the months of October, May and April respectively. Wide variations in the results of the various parameters analyzed in each of the stations mainly be explained by differences in the frequency of discharge of domestic and industrial effluent without prior treatment, effluent turn change in quantity and quality according to the various processes associated with each activity. Domestic effluents from populations that do not have sewer, industrial effluents from tannery correspond to activities, laundry, dairy, brewing and other. During field trips, we could be determined, in some instances, significant changes in water quality in a short period of time (one hour or less), manifested by changes in color fluctuations of water and the solids content in suspension. We obtained total

  18. 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

  19. Parameter and input data uncertainty estimation for the assessment of water resources in two sub-basins of the Limpopo River Basin

    NASA Astrophysics Data System (ADS)

    Oosthuizen, Nadia; Hughes, Denis A.; Kapangaziwiri, Evison; Mwenge Kahinda, Jean-Marc; Mvandaba, Vuyelwa

    2018-05-01

    The demand for water resources is rapidly growing, placing more strain on access to water and its management. In order to appropriately manage water resources, there is a need to accurately quantify available water resources. Unfortunately, the data required for such assessment are frequently far from sufficient in terms of availability and quality, especially in southern Africa. In this study, the uncertainty related to the estimation of water resources of two sub-basins of the Limpopo River Basin - the Mogalakwena in South Africa and the Shashe shared between Botswana and Zimbabwe - is assessed. Input data (and model parameters) are significant sources of uncertainty that should be quantified. In southern Africa water use data are among the most unreliable sources of model input data because available databases generally consist of only licensed information and actual use is generally unknown. The study assesses how these uncertainties impact the estimation of surface water resources of the sub-basins. Data on farm reservoirs and irrigated areas from various sources were collected and used to run the model. Many farm dams and large irrigation areas are located in the upper parts of the Mogalakwena sub-basin. Results indicate that water use uncertainty is small. Nevertheless, the medium to low flows are clearly impacted. The simulated mean monthly flows at the outlet of the Mogalakwena sub-basin were between 22.62 and 24.68 Mm3 per month when incorporating only the uncertainty related to the main physical runoff generating parameters. The range of total predictive uncertainty of the model increased to between 22.15 and 24.99 Mm3 when water use data such as small farm and large reservoirs and irrigation were included. For the Shashe sub-basin incorporating only uncertainty related to the main runoff parameters resulted in mean monthly flows between 11.66 and 14.54 Mm3. The range of predictive uncertainty changed to between 11.66 and 17.72 Mm3 after the uncertainty

  20. Hydrogeologic Framework, Groundwater Movement, and Water Budget in Tributary Subbasins and Vicinity, Lower Skagit River Basin, Skagit and Snohomish Counties, Washington

    USGS Publications Warehouse

    Savoca, Mark E.; Johnson, Kenneth H.; Sumioka, Steven S.; Olsen, Theresa D.; Fasser, Elisabeth T.; Huffman, Raegan L.

    2009-01-01

    A study to characterize the groundwater-flow system in four tributary subbasins and vicinity of the lower Skagit River basin was conducted by the U.S. Geological Survey to assist Skagit County and the Washington State Department of Ecology in evaluating the effects of potential groundwater withdrawals and consumptive use on tributary streamflows. This report presents information used to characterize the groundwater and surface-water flow system in the subbasins, and includes descriptions of the geology and hydrogeologic framework of the subbasins; groundwater recharge and discharge; groundwater levels and flow directions; seasonal groundwater-level fluctuations; interactions between aquifers and the surface-water system; and a water budget for the subbasins. The study area covers about 247 mi2 along the Skagit River and its tributary subbasins (East Fork Nookachamps Creek, Nookachamps Creek, Carpenter Creek, and Fisher Creek) in southwestern Skagit County and northwestern Snohomish County, Washington. The geology of the area records a complex history of accretion along the continental margin, mountain building, deposition of terrestrial and marine sediments, igneous intrusion, and the repeated advance and retreat of continental glaciers. A simplified surficial geologic map was developed from previous mapping in the area, and geologic units were grouped into nine hydrogeologic units consisting of aquifers and confining units. A surficial hydrogeologic unit map was constructed and, with lithologic information from 296 drillers'logs, was used to produce unit extent and thickness maps and four hydrogeologic sections. Groundwater in unconsolidated aquifers generally flows towards the northwest and west in the direction of the Skagit River and Puget Sound. This generalized flow pattern is likely complicated by the presence of low-permeability confining units that separate discontinuous bodies of aquifer material and act as local groundwater-flow barriers. Groundwater

  1. Carbonate deposition, Pyramid Lake subbasin, Nevada: 3. The use of87Sr values in carbonate deposits (tufas) to determine the hydrologic state of paleolake systems

    USGS Publications Warehouse

    Benson, L.; Peterman, Z.

    1996-01-01

    Sierran rivers that discharge to the Lahontan basin have much lower (???4.5%o) ??87Sr values than the Humboldt River which drains northeastern Nevada. The ??87Sr values of tufas deposited during the last lake cycle were used to determine when Humboldt derived Sr entered the Pyramid Lake subbasin. Prior to ~ 15,000 yr B.P., the Humboldt River flowed to the Smoke Creek-Black Rock Desert subbasin. During the recession of Lake Lahontan, the Humboldt River diverted to the Carson Desert subbasin. This study has demonstrated that 87Sr can be used to determine drainage histories of multi-basin lake systems if the ??87Sr values of rivers that discharge to the basins are sufficiently different. ?? 1995 Elsevier Science B.V. All rights reserved.

  2. 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

  3. Numerical Simulation of The Mediterranean Sea Using Diecast: Interaction Between Basin, Sub-basin and Local Scale Features and Natural Variability.

    NASA Astrophysics Data System (ADS)

    Fernández, V.; Dietrich, D. E.; Haney, R. L.; Tintoré, J.

    In situ and satellite data obtained during the last ten years have shown that the circula- tion in the Mediterranean Sea is extremely complex in space, with significant features ranging from mesoscale to sub-basin and basin scale, and highly variable in time, with mesoscale to seasonal and interannual signals. Also, the steep bottom topography and the variable atmospheric conditions from one sub-basin to another, make the circula- tion to be composed of numerous energetic and narrow coastal currents, density fronts and mesoscale structures that interact at sub-basin scale with the large scale circula- tion. To simulate numerically and better understand these features, besides high grid resolution, a low numerical dispersion and low physical dissipation ocean model is required. We present the results from a 1/8z horizontal resolution numerical simula- tion of the Mediterranean Sea using DieCAST ocean model, which meets the above requirements since it is stable with low general dissipation and uses accurate fourth- order-accurate approximations with low numerical dispersion. The simulations are carried out with climatological surface forcing using monthly mean winds and relax- ation towards climatological values of temperature and salinity. The model reproduces the main features of the large basin scale circulation, as well as the seasonal variabil- ity of sub-basin scale currents that are well documented by observations in straits and channels. In addition, DieCAST brings out natural fronts and eddies that usually do not appear in numerical simulations of the Mediterranean and that lead to a natural interannual variability. The role of this intrinsic variability in the general circulation will be discussed.

  4. Healthy offshore workforce? A qualitative study on offshore wind employees' occupational strain, health, and coping.

    PubMed

    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.

  5. A hybrid regional approach to model discharge at multiple sub-basins within the Calapooia Watershed, Oregon, USA

    EPA Science Inventory

    Modeling is a useful tool for quantifying ecosystem services and understanding their temporal dynamics. Here we describe a hybrid regional modeling approach for sub-basins of the Calapooia watershed that incorporates both a precipitation-runoff model and an indexed regression mo...

  6. Quantification of water resources uncertainties in the Luvuvhu sub-basin of the Limpopo river basin

    NASA Astrophysics Data System (ADS)

    Oosthuizen, N.; Hughes, D.; Kapangaziwiri, E.; Mwenge Kahinda, J.; Mvandaba, V.

    2018-06-01

    In the absence of historical observed data, models are generally used to describe the different hydrological processes and generate data and information that will inform management and policy decision making. Ideally, any hydrological model should be based on a sound conceptual understanding of the processes in the basin and be backed by quantitative information for the parameterization of the model. However, these data are often inadequate in many sub-basins, necessitating the incorporation of the uncertainty related to the estimation process. This paper reports on the impact of the uncertainty related to the parameterization of the Pitman monthly model and water use data on the estimates of the water resources of the Luvuvhu, a sub-basin of the Limpopo river basin. The study reviews existing information sources associated with the quantification of water balance components and gives an update of water resources of the sub-basin. The flows generated by the model at the outlet of the basin were between 44.03 Mm3 and 45.48 Mm3 per month when incorporating +20% uncertainty to the main physical runoff generating parameters. The total predictive uncertainty of the model increased when water use data such as small farm and large reservoirs and irrigation were included. The dam capacity data was considered at an average of 62% uncertainty mainly as a result of the large differences between the available information in the national water resources database and that digitised from satellite imagery. Water used by irrigated crops was estimated with an average of about 50% uncertainty. The mean simulated monthly flows were between 38.57 Mm3 and 54.83 Mm3 after the water use uncertainty was added. However, it is expected that the uncertainty could be reduced by using higher resolution remote sensing imagery.

  7. Metal contamination in benthic macroinvertebrates in a sub-basin in the southeast of Brazil.

    PubMed

    Chiba, W A C; Passerini, M D; Tundisi, J G

    2011-05-01

    Benthic macroinvertebrates have many useful properties that make possible the use of these organisms as sentinel in biomonitoring programmes in freshwater. Combined with the characteristics of the water and sediment, benthic macroinvertebrates are potential indicators of environmental quality. Thus, the spatial occurrence of potentially toxic metals (Al, Zn, Cr, Co, Cu, Fe, Mn and Ni) in the water, sediment and benthic macroinvertebrates samples were investigated in a sub-basin in the southeast of Brazil in the city of São Carlos, São Paulo state, with the aim of verifying the metals and environment interaction with benthic communities regarding bioaccumulation. Hypothetically, there can be contamination by metals in the aquatic environment in the city due to lack of industrial effluent treatment. All samples were analysed by the USEPA adapted method and processed in an atomic absorption spectrophotometer. The sub-basin studied is contaminated by toxic metals in superficial water, sediment and benthic macroinvertebrates. The Bioaccumulation Factor showed a tendency for metal bioaccumulation by the benthic organisms for almost all the metal species. The results show a potential human and ecosystem health risk, contributing to metal contamination studies in aquatic environments in urban areas.

  8. 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

  9. 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...

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

    EPA Pesticide Factsheets

    The offshore (>80 m) fish community of Lake Superior is made up of predominately native species. The most prominent species are deepwater sculpin, kiyi, cisco, siscowet lake trout, burbot, and the exotic sea lamprey. Bloater and shortjaw cisco are also found in the offshore zone. Bloater is abundant in the offshore zone but appears restricted to depths shallower than 150 m (Selgeby and Hoff 1996; Stockwell et al. 2010), although it occuppied greater depths several decades ago (Dryer 1966; Peck 1977). Shortjaw is relatively rare in the offshore zone (Hoff and Todd 2004; Gorman and Hoff 2009; Gorman and Todd 2007). Lake whitefish is also known to frequent bathymetric depths >100 m (Yule et al. 2008b). In this chapter, we develop a conceptual model of the offshore food web based on data collected during 2001-2005 and on inferences from species interactions known for the nearshore fish community. We then develop a framework for examination of energy and nutrient movements within the pelagic and benthic habitats of the offshore zone and across the offshore and nearshore zones. To document research results.

  11. 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

  12. 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

  13. Assessment of groundwater quality in the Al- Burayhi and Hedran sub-basin, Taiz, Yemen - A GIS approach

    NASA Astrophysics Data System (ADS)

    Naser, Ramzy; El Bakkali, Mohammed; Darwesh, Nabil; El Kharrim, Khadija; Belghyti, Driss

    2018-05-01

    In many parts of the world, groundwater sources are the single most important supply for the production of drinking water, particularly in areas with limited or polluted surface water sources. Fresh water has become a scarce commodity due to over exploitation and pollution of water. Many countries and international organizations, including Wolrd Health Organization, are seeking to promote people's access to safe drinking water. The situation in Yemen is no exception. Although we rely on groundwater significantly in our lives and our survival, we do not manage it in a way that ensures its sustainability and maintenance of pollution. The objective of this study is to determine the suitability of the groundwater in Al Burayhi and Hedran sub-basin (one of the sub-basins of the Upper Valley Rasyan) as a source of drinking water in the shade of the expected deterioration due to natural processes (water interaction with rocks, semi-dry climate) and human activities.

  14. Geophysical Tools for an Improved Hydrogeologic Conceptual Model of the Big Chino Sub-basin, Central Arizona

    NASA Astrophysics Data System (ADS)

    Macy, J. P.; Kennedy, J.

    2017-12-01

    Water users and managers who rely on the Verde River system and its aquifers for water supplies have an intrinsic interest in developing the best possible tools for assessing the effects of groundwater withdrawals. Past, present, and future groundwater withdrawals from the Big Chino sub-basin will affect groundwater levels in the Big Chino area and groundwater discharge at the headwaters of the Verde River, specifically at the Upper Verde Springs, which is believed to be a major discharge zone of groundwater from the sub-basin. The amount and timing of reduced discharge as base flow is a function of connections between hydrogeologic (aquifer) units, aquifer storage properties and transmissivity, and proximity of withdrawal locations to discharge areas. To better define the aquifer units and aquifer storage properties, the United States Geological Survey, Cities of Prescott and Prescott Valley, and Salt River Project have initiated an ongoing geophysical study using controlled-source audio-frequency magnetotellurics (CSAMT) and repeat microgravity methods. CSAMT, a high-energy electromagnetic method sensitive to lithologic variations between rock and sediment types, is useful for defining aquifers at depths of up to 600 meters. Visual display of CSAMT profiles using Google Earth is useful for understanding and visualizing the relation between geophysics and Big Chino Sub-basin hydrogeology. Initial results from repeat microgravity surveys, which measure changes in subsurface mass (and therefore aquifer storage) over time, reveal spatial variation in the relation between aquifer storage changes and groundwater level changes. This variation reflects different confining conditions and multiple aquifer systems in different parts of the aquifer. Information about confining conditions and multiple aquifers could improve numerical groundwater models and predictions of future groundwater-level and base-flow depletion.

  15. Simulated effects of groundwater pumping and artificial recharge on surface-water resources and riparian vegetation in the Verde Valley sub-basin, Central Arizona

    USGS Publications Warehouse

    Leake, Stanley A.; Pool, Donald R.

    2010-01-01

    In the Verde Valley sub-basin, groundwater use has increased in recent decades. Residents and stakeholders in the area have established several groups to help in planning for sustainability of water and other resources of the area. One of the issues of concern is the effect of groundwater pumping in the sub-basin on surface water and on groundwater-dependent riparian vegetation. The Northern Arizona Regional Groundwater-Flow Model by Pool and others (in press) is the most comprehensive and up-to-date tool available to understand the effects of groundwater pumping in the sub-basin. Using a procedure by Leake and others (2008), this model was modified and used to calculate effects of groundwater pumping on surface-water flow and evapotranspiration for areas in the sub-basin. This report presents results for the upper two model layers for pumping durations of 10 and 50 years. Results are in the form of maps that indicate the fraction of the well pumping rate that can be accounted for as the combined effect of reduced surface-water flow and evapotranspiration. In general, the highest and most rapid responses to pumping were computed to occur near surface-water features simulated in the modified model, but results are not uniform along these features. The results are intended to indicate general patterns of model-computed response over large areas. For site-specific projects, improved results may require detailed studies of the local hydrologic conditions and a refinement of the modified model in the area of interest.

  16. 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.

  17. Tidally averaged circulation in Puget Sound sub-basins: Comparison of historical data, analytical model, and numerical model

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Khangaonkar, Tarang; Yang, Zhaoqing; Kim, Tae Yun

    2011-07-20

    Through extensive field data collection and analysis efforts conducted since the 1950s, researchers have established an understanding of the characteristic features of circulation in Puget Sound. The pattern ranges from the classic fjordal behavior in some basins, with shallow brackish outflow and compensating inflow immediately below, to the typical two-layer flow observed in many partially mixed estuaries with saline inflow at depth. An attempt at reproducing this behavior by fitting an analytical formulation to past data is presented, followed by the application of a three-dimensional circulation and transport numerical model. The analytical treatment helped identify key physical processes and parameters,more » but quickly reconfirmed that response is complex and would require site-specific parameterization to include effects of sills and interconnected basins. The numerical model of Puget Sound, developed using unstructured-grid finite volume method, allowed resolution of the sub-basin geometric features, including presence of major islands, and site-specific strong advective vertical mixing created by bathymetry and multiple sills. The model was calibrated using available recent short-term oceanographic time series data sets from different parts of the Puget Sound basin. The results are compared against (1) recent velocity and salinity data collected in Puget Sound from 2006 and (2) a composite data set from previously analyzed historical records, mostly from the 1970s. The results highlight the ability of the model to reproduce velocity and salinity profile characteristics, their variations among Puget Sound subbasins, and tidally averaged circulation. Sensitivity of residual circulation to variations in freshwater inflow and resulting salinity gradient in fjordal sub-basins of Puget Sound is examined.« less

  18. Statistical relations of salt and selenium loads to geospatial characteristics of corresponding subbasins of the Colorado and Gunnison Rivers in Colorado

    USGS Publications Warehouse

    Leib, Kenneth J.; Linard, Joshua I.; Williams, Cory A.

    2012-01-01

    Elevated loads of salt and selenium can impair the quality of water for both anthropogenic and natural uses. Understanding the environmental processes controlling how salt and selenium are introduced to streams is critical to managing and mitigating the effects of elevated loads. Dominant relations between salt and selenium loads and environmental characteristics can be established by using geospatial data. The U.S. Geological Survey, in cooperation with the Bureau of Reclamation, investigated statistical relations between seasonal salt or selenium loads emanating from the Upper Colorado River Basin and geospatial data. Salt and selenium loads measured during the irrigation and nonirrigation seasons were related to geospatial variables for 168 subbasins within the Gunnison and Colorado River Basins. These geospatial variables represented subbasin characteristics of the physical environment, precipitation, geology, land use, and the irrigation network. All subbasin variables with units of area had statistically significant relations with load. The few variables that were not in units of area but were statistically significant helped to identify types of geospatial data that might influence salt and selenium loading. Following a stepwise approach, combinations of these statistically significant variables were used to develop multiple linear regression models. The models can be used to help prioritize areas where salt and selenium control projects might be most effective.

  19. 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.

  20. Grande Ronde Subbasin Gauging Station Operations, 2007-2008 Reporting Period.

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Menton, R. Coby

    2008-11-10

    The Grande Ronde Basin (GRB) in Northeast Oregon is a moderately dry climate receiving between 10 and 20 inches of precipitation per year with surrounding mountains accumulating up to 100 inches. Irrigated agriculture is a major part of the economy with water being diverted or pumped from surface and ground sources from April through October. Several ESA listed species exist in the basin including Chinook, steelhead, and bulltrout. Agriculture and ESA (Endangered Species Act) listed aquatic species combined with a dry climate demonstrate the need for a network of stream gauges. The GRB covers over 5,000 square miles and includesmore » several thousand miles of perennial flowing streams. This project is in place to operate 12 existing stream gauges in combination with USGS (4 gauges) and OWRD (one gauge) who, independent of this project, operate five additional gauges (Grande Ronde at Troy, Imnaha R. at Imnaha, Minam R. at Minam, Lookingglass Creek, and Upper Catherine Cr.) to characterizes flow in both the Grande Ronde and Imnaha subbasins. These gauges are intended to assist in irrigation water management, fisheries management, long term flow and trend analysis, TMDL and SB1010 water quality management plan effectiveness, subbasin plan implementation, and provide essential information regarding cumulative effects response to conservation in the GRB. Headwater characteristics, land management influence, and basin outlet data are all selectively collected in this network of 17 flow gauges. Prior to the 2007 water year there were three separate stream gauging programs with similar objectives, protocol, and funding sources in the GRB. Each of these programs for the past ten years has operated under separate administration consuming more time and administrative money than is necessary to accomplish stated objectives. By combining all programs into one project costs have been reduced, each funding source has one contract instead of three, and the same amount of work

  1. Smarter offshoring.

    PubMed

    Farrell, Diana

    2006-06-01

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

  2. From Sub-basin to Grid Scale Soil Moisture Disaggregation in SMART, A Semi-distributed Hydrologic Modeling Framework

    NASA Astrophysics Data System (ADS)

    Ajami, H.; Sharma, A.

    2016-12-01

    A computationally efficient, semi-distributed hydrologic modeling framework is developed to simulate water balance at a catchment scale. The Soil Moisture and Runoff simulation Toolkit (SMART) is based upon the delineation of contiguous and topologically connected Hydrologic Response Units (HRUs). In SMART, HRUs are delineated using thresholds obtained from topographic and geomorphic analysis of a catchment, and simulation elements are distributed cross sections or equivalent cross sections (ECS) delineated in first order sub-basins. ECSs are formulated by aggregating topographic and physiographic properties of the part or entire first order sub-basins to further reduce computational time in SMART. Previous investigations using SMART have shown that temporal dynamics of soil moisture are well captured at a HRU level using the ECS delineation approach. However, spatial variability of soil moisture within a given HRU is ignored. Here, we examined a number of disaggregation schemes for soil moisture distribution in each HRU. The disaggregation schemes are either based on topographic based indices or a covariance matrix obtained from distributed soil moisture simulations. To assess the performance of the disaggregation schemes, soil moisture simulations from an integrated land surface-groundwater model, ParFlow.CLM in Baldry sub-catchment, Australia are used. ParFlow is a variably saturated sub-surface flow model that is coupled to the Common Land Model (CLM). Our results illustrate that the statistical disaggregation scheme performs better than the methods based on topographic data in approximating soil moisture distribution at a 60m scale. Moreover, the statistical disaggregation scheme maintains temporal correlation of simulated daily soil moisture while preserves the mean sub-basin soil moisture. Future work is focused on assessing the performance of this scheme in catchments with various topographic and climate settings.

  3. Headcut Erosion in Wyoming's Sweetwater Subbasin.

    PubMed

    Cox, Samuel E; Booth, D Terrance; Likins, John C

    2016-02-01

    Increasing human population and intensive land use combined with a warming climate and chronically diminished snowpacks are putting more strain on water resources in the western United States. Properly functioning riparian systems slow runoff and store water, thus regulating extreme flows; however, riparian areas across the west are in a degraded condition with a majority of riparian systems not in proper functioning condition, and with widespread catastrophic erosion of water-storing peat and organic soils. Headcuts are the leading edge of catastrophic channel erosion. We used aerial imagery (1.4-3.3-cm pixel) to locate 163 headcuts in riparian areas in the Sweetwater subbasin of central Wyoming. We found 1-m-the generally available standard resolution for land management-and 30-cm pixel imagery to be inadequate for headcut identification. We also used Structure-from-Motion models built from ground-acquired imagery to model 18 headcuts from which we measured soil loss of 425-720 m3. Normalized by channel length, this represents a loss of 1.1-1.8 m3 m(-1) channel. Monitoring headcuts, either from ground or aerial imagery, provides an objective indicator of sustainable riparian land management and identifies priority disturbance-mitigation areas. Image-based headcut monitoring must use data on the order of 3.3 cm ground sample distance, or greater resolution, to effectively capture the information needed for accurate assessments of riparian conditions.

  4. Concentrations and transport of suspended sediment, nutrients, and pesticides in the lower Mississippi-Atchafalaya River subbasin during the 2011 Mississippi River flood, April through July

    USGS Publications Warehouse

    Welch, Heather L.; Coupe, Richard H.; Aulenbach, Brent T.

    2014-01-01

    High streamflow associated with the April–July 2011 Mississippi River flood forced the simultaneous opening of the three major flood-control structures in the lower Mississippi-Atchafalaya River subbasin for the first time in history in order to manage the amount of water moving through the system. The U.S. Geological Survey (USGS) collected samples for analysis of field properties, suspended-sediment concentration, particle-size, total nitrogen, nitrate plus nitrite, total phosphorus, orthophosphate, and up to 136 pesticides at 11 water-quality stations and 2 flood-control structures in the lower Mississippi-Atchafalaya River subbasin from just above the confluence of the upper Mississippi and Ohio Rivers downstream from April through July 2011. Monthly fluxes of suspended sediment, suspended sand, total nitrogen, nitrate plus nitrite, total phosphorus, orthophosphate, atrazine, simazine, metolachlor, and acetochlor were estimated at 9 stations and 2 flood-control structures during the flood period. Although concentrations during the 2011 flood were within the range of what has been observed historically, concentrations decreased during peak streamflow on the lower Mississippi River. Prior to the 2011 flood, high concentrations of suspended sediment and nitrate were observed in March 2011 at stations downstream of the confluence of the upper Mississippi and Ohio Rivers, which probably resulted in a loss of available material for movement during the flood. In addition, the major contributor of streamflow to the lower Mississippi-Atchafalaya River subbasin during April and May was the Ohio River, whose water contained lower concentrations of suspended sediment, pesticides, and nutrients than water from the upper Mississippi River. Estimated fluxes for the 4-month flood period were still quite high and contributed approximately 50 percent of the estimated annual suspended sediment, nitrate, and total phosphorus fluxes in 2011; the largest fluxes were estimated at

  5. Offshore wind farm layout optimization

    NASA Astrophysics Data System (ADS)

    Elkinton, Christopher Neil

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

  6. QATAR offshore oil

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Not Available

    The Qatar Petroleum Producing Authority is presently operating three offshore fields - Idd al-Shargi, Maydan Mahzam and Bul Hanine. The Idd al-Shargi field consists of 14 naturally flowing wells and three suspended wells. Individual flow rates of the producing wells range from 250 to 3000 barrels per day (b/d). The Maydan Mahzam field produces from 11 naturally flowing wells. Reservoir energy in the field is maintained by water injection. Each of the wells produce oil at rates ranging from 2500 to 20,000 b/d. The Bul Hanine field comprises 10 producing wells supported by 9 dumpflooders. Production rates of the individualmore » wells reach 29,000 b/d, making them among the world's highest. In 1978 the completion of a major acceleration project for the Bul Hanine Arab IV reservoir added more than 40,000 b/d to the production potential of the field. Total Qatari oil exports in 1978 were 91,708,000 barrels, equivalent to an average export rate of 25,000 b/d. Total production in Qatar in 1979 was 100,641,394 barrels (offshore) and 84,130,917 (onshore), an increase of 11% and a decrease of 3%, respectively, over 1978. Halal Island provides offshore storage for oil and gas berthing and loading operations. A natural gas liquids offshore complex, including a fractionation plant, is nearing completion at Umm Said. (SAC)« less

  7. 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

  8. Offshore Fish Community: Ecological Interactions

    EPA Science Inventory

    The offshore (>80 m) fish community of Lake Superior is made up of predominately native species. The most prominent species are deepwater sculpin, kiyi, cisco, siscowet lake trout, burbot, and the exotic sea lamprey. Bloater and shortjaw cisco are also found in the offshore zone...

  9. Source Process of the Mw 5.0 Au Sable Forks, New York, Earthquake Sequence from Local Aftershock Monitoring Network Data

    NASA Astrophysics Data System (ADS)

    Kim, W.; Seeber, L.; Armbruster, J. G.

    2002-12-01

    On April 20, 2002, a Mw 5 earthquake occurred near the town of Au Sable Forks, northeastern Adirondacks, New York. The quake caused moderate damage (MMI VII) around the epicentral area and it is well recorded by over 50 broadband stations in the distance ranges of 70 to 2000 km in the Eastern North America. Regional broadband waveform data are used to determine source mechanism and focal depth using moment tensor inversion technique. Source mechanism indicates predominantly thrust faulting along 45° dipping fault plane striking due South. The mainshock is followed by at least three strong aftershocks with local magnitude (ML) greater than 3 and about 70 aftershocks are detected and located in the first three months by a 12-station portable seismographic network. The aftershock distribution clearly delineate the mainshock rupture to the westerly dipping fault plane at a depth of 11 to 12 km. Preliminary analysis of the aftershock waveform data indicates that orientation of the P-axis rotated 90° from that of the mainshock, suggesting a complex source process of the earthquake sequence. We achieved an important milestone in monitoring earthquakes and evaluating their hazards through rapid cross-border (Canada-US) and cross-regional (Central US-Northeastern US) collaborative efforts. Hence, staff at Instrument Software Technology, Inc. near the epicentral area joined Lamont-Doherty staff and deployed the first portable station in the epicentral area; CERI dispatched two of their technical staff to the epicentral area with four accelerometers and a broadband seismograph; the IRIS/PASSCAL facility shipped three digital seismographs and ancillary equipment within one day of the request; the POLARIS Consortium, Canada sent a field crew of three with a near real-time, satellite telemetry based earthquake monitoring system. The Polaris station, KSVO, powered by a solar panel and batteries, was already transmitting data to the central Hub in London, Ontario, Canada within

  10. 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

  11. 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

  12. 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.

  13. 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.

  14. Offshore rectenna feasbility

    NASA Technical Reports Server (NTRS)

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

    1980-01-01

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

  15. Small Ne of the Isolated and Unmanaged Horse Population on Sable Island.

    PubMed

    Uzans, Andrea J; Lucas, Zoe; McLeod, Brenna A; Frasier, Timothy R

    2015-01-01

    For small, isolated populations 2 common conservation concerns relate to genetic threats: inbreeding and negative consequences associated with loss of genetic diversity due to drift. Mitigating these threats often involves conservation actions that can be controversial, such as translocations or captive breeding programs. Although such actions have been successful in some situations, in others they have had undesirable outcomes. Here, we estimated the effective population size (N e ) of the Sable Island horses to assess the risk to this population of these genetic threats. We found surprising consistency of N e estimates across the 5 different methods used, with a mean of 48 effective individuals. This estimate falls below the 50 criterion of the "50/500 rule," below which inbreeding depression is a concern for population viability. However, simulations and knowledge of population history indicate that this population is still in its early stages of approaching equilibrium between mutation, drift, and genetic diversity; and no negative consequences have been identified that could be associated with inbreeding depression. Therefore, we do not recommend taking management action (such as translocations) at this stage. Rather, we propose continued monitoring of genetic diversity and fitness over time so that trends and any substantial changes can be detected. This represents one of the few unmanaged horse populations in the world, and therefore these data will not only alert us to serious concerns regarding their conservation status, but will also provide a wealth of information about how natural processes drive patterns of reproduction, mortality, and population growth over time. © The American Genetic Association 2015. All rights reserved. For permissions, please e-mail: journals.permissions@oup.com.

  16. 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.

  17. Riparian Cottonwood Ecosystems and Regulated Flows in Kootenai and Yakima Sub-Basins : Volume II Yakima (Overview, Report, Appendices).

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Jamieson, Bob; Braatne, Jeffrey H.

    Riparian vegetation and especially cottonwood and willow plant communities are dependent on normative flows and especially, spring freshette, to provide conditions for recruitment. These plant communities therefore share much in common with a range of fish species that require natural flow conditions to stimulate reproduction. We applied tools and techniques developed in other areas to assess riparian vegetation in two very different sub-basins within the Columbia Basin. Our objectives were to: Document the historic impact of human activity on alluvial floodplain areas in both sub-basins; Provide an analysis of the impacts of flow regulation on riparian vegetation in two systemsmore » with very different flow regulation systems; Demonstrate that altered spring flows will, in fact, result in recruitment to cottonwood stands, given other land uses impacts on each river and the limitations imposed by other flow requirements; and Assess the applicability of remote sensing tools for documenting the distribution and health of cottonwood stands and riparian vegetation that can be used in other sub-basins.« less

  18. 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.

  19. Groundwater/surface-water interactions in the Tunk, Bonaparte, Antoine, and Tonasket Creek Subbasins, Okanogan River Basin, North-Central Washington, 2008

    USGS Publications Warehouse

    Sumioka, S.S.; Dinicola, R.S.

    2009-01-01

    An investigation into groundwater/surface-water interactions in four tributary subbasins of the Okanogan River determined that streamflows and shallow groundwater levels beneath the streams varied seasonally and by location. Streamflows measured in June 2008 indicated net losses of streamflow along 10 of 17 reaches, and hydraulic gradients measured between streams and shallow groundwater indicated potential recharge of surface water to groundwater at 11 of 21 measurement sites. In September 2008, net losses of streamflow were indicated along 9 of 17 reaches, and potential recharge of surface water to groundwater was indicated at 18 of 21 measurement sites. The greatest losses of streamflow occurred near the confluences with the Okanogan River, likely due to the presence of thick layers of unconsolidated deposits in the flood plain of the Okanogan River. Based on available geologic information compiled from drillers' logs, a surficial geologic map, and streamflow records, the extensive and thick deposits of unconsolidated material in the Tunk and Bonaparte Creek subbasins are factors in sustaining the almost perennial streamflow in those creeks. The less extensive and generally thinner unconsolidated deposits in the Tonasket and Antoine subbasins are contributing factors to the occasional extended periods of zero flow (a dry stream channel) in those creeks. Even though groundwater withdrawals would affect streamflows, relatively low precipitation in the area, along with limited groundwater storage capacity and the presence of permeable, unconsolidated deposits underlying the stream channels, would likely lead to loss of surface water to the groundwater system without any withdrawals.

  20. Assessment of runoff response to landscape changes in the San Pedro subbasin (Nayarit, Mexico) using remote sensing data and GIS.

    PubMed

    Hernández-Guzmán, Rafael; Ruiz-Luna, Arturo; Berlanga-Robles, César Alejandro

    2008-10-01

    Results on runoff estimates as a response to land-use and land-cover changes are presented. We used remote sensing and GIS techniques with rainfall time-series data, spatial ancillary information, and the curve-number method (NRCS-CN) to assess the runoff response in the San Pedro subbasin. Thematic maps with eight land-cover classes derived from satellite imagery classification (1973, 1990, and 2000) and hydrologic soil-group maps were used as the input for the runoff calculation. About 20% to 25% of the subbasin landscape has changed since 1973, mainly as consequence of the growth of agriculture. Forest is the main cover, although further analyses indicate that forest is degrading from good to poor conditions when evaluated as a function of the spectral response. Soils with low infiltration rates, classified as the hydrological soil-group "C", were dominant in the area (52%). The overlaying of all the hydrological soil groups with the land-use map produced a total of 43 hydro-group and land-use categories for which runoff was calculated using the curve-number method. Estimates of total runoff volumes (26 x 10(6) m3) were similar for the three dates analyzed in spite of landscape changes, but there were temporal variations among the hydro-group and land-use categories as a consequence. Changes are causing the rise of covers with high runoff potential and the increase of runoff depth is expected, but it can be reversed by different management of subbasin hydro-groups and land-use units.

  1. Tectonic and magmatic processes of the post-spreading ridge in the Southwest Sub-basin, South China Sea

    NASA Astrophysics Data System (ADS)

    Li, J.; Zhang, J.; Ruan, A.; Niu, X.; Ding, W.

    2016-12-01

    We report here a 3D ocean bottom seismometer experiment on the fossil spreading ridge in the Southwest Sub-basin of the South China Sea. An extreme asymmetric crustal structure across the axis is revealed and caused by lower crust thinning and upper mantle uplifting located on NW side of the ridge. Such crustal extension proposed a low-angle oceanic detachment fault throughout the whole crust on the last or post spreading stages. A low-velocity (7.6-7.9 km/s) on the uplifting upper mantle is possibly induced by both mantle serpentinization and/or decompression melting through the detachment fault. Velocity models also demonstrate that a post-spreading volcano erupted on the axis is mainly formed by an extrusive process with an extrusive/intrusive ratio of 1.92. Very low velocity of upper crust (3.1-4.8 km/s) of the volcano is attributed to the composition of volcaniclastic rocks and high-porosity basalts, which have been observed in the borehole and dredged samples on the seamounts nearby. KEY WORDS post-spreading ridge; wide-angle seismic refraction; crustal structure; South China Sea; Southwest Sub-basin

  2. 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...

  3. 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

  4. 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...

  5. 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

  6. 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…

  7. 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

  8. 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.

  9. 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...

  10. 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...

  11. 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...

  12. 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...

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

    PubMed

    Morken, Tone; Tveito, Torill H; Torp, Steffen; Bakke, Ashild

    2004-10-21

    Musculoskeletal disorders are important causes of sick leave and disability among Norwegian offshore petroleum workers. More knowledge and interventions are needed in order to prevent this. In this review we consider prevalence and risk factors among offshore petroleum workers and point to the need for more research. Literature searches on ISI Web of Science and PubMed were supplemented by reports from Norwegian offshore industry companies and the Norwegian Petroleum Directorate. Few studies were found on musculoskeletal disorders among offshore petroleum workers. The disorders are widespread, particularly among catering, construction and drilling personnel. It is not clear whether the prevalence is different from that among onshore workers. Risk factors are physical stressors and fast pace of work. Among catering personnel, these disorders are important causes of loss of the required health certificate but we could not identify any review of causes in the offshore industry generally. More scientific studies are needed on musculoskeletal disorders as comparisons of prevalence and risk factors for offshore and onshore workers may point to more effective interventions. Better knowledge of the causes of loss of the health certificate may contribute to preventing early retirement. Interventions to prevent these disorders should be evaluated by controlled intervention studies.

  14. 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…

  15. Facies analysis, palaeoenvironmental reconstruction and stratigraphic development of the Early Cretaceous sediments (Lower Bima Member) in the Yola Sub-basin, Northern Benue Trough, NE Nigeria

    NASA Astrophysics Data System (ADS)

    Sarki Yandoka, Babangida M.; Abubakar, M. B.; Abdullah, Wan Hasiah; Amir Hassan, M. H.; Adamu, Bappah U.; Jitong, John S.; Aliyu, Abdulkarim H.; Adegoke, Adebanji Kayode

    2014-08-01

    The Benue Trough of Nigeria is a major rift basin formed from the tension generated by the separation of African and South American plates in the Early Cretaceous. It is geographically sub-divided into Southern, Central and Northern Benue portions. The Northern Benue Trough comprises two sub-basins; the N-S trending Gongola Sub-basin and the E-W trending Yola Sub-basin. The Bima Formation is the oldest lithogenetic unit occupying the base of the Cretaceous successions in the Northern Benue Trough. It is differentiated into three members; the Lower Bima (B1), the Middle Bima (B2) and the Upper Bima (B3). Facies and their stratigraphical distribution analyses were conducted on the Lower Bima Member exposed mainly at the core of the NE-SW axially trending Lamurde Anticline in the Yola Sub-basin, with an objective to interpret the paleodepositional environments, and to reconstruct the depositional model and the stratigraphical architecture. Ten (10) lithofacies were identified on the basis of lithology, grain size, sedimentary structures and paleocurrent analysis. The facies constitute three (3) major facies associations; the gravelly dominated, the sandy dominated and the fine grain dominated. These facies and facies associations were interpreted and three facies successions were recognized; the alluvial-proximal braided river, the braided river and the lacustrine-marginal lacustrine. The stratigraphic architecture indicates a rifted (?pull-apart) origin as the facies distribution shows a progradational succession from a shallow lacustrine/marginal lacustrine (at the axial part of the basin) to alluvial fan (sediment gravity flow)-proximal braided river (gravel bed braided river) and braided river (channel and overbank) depositional systems. The facies stacking patterns depict sedimentation mainly controlled by allogenic factors of climate and tectonism.

  16. Classifying plant series-level forest potential types: methods for subbasins sampled in the midscale assessment of the interior Columbia basin.

    Treesearch

    Paul F. Hessburg; Bradley G. Smith; Scott D. Kreiter; Craig A. Miller; Cecilia H. McNicoll; Michele. Wasienko-Holland

    2000-01-01

    In the interior Columbia River basin midscale ecological assessment, we mapped and characterized historical and current vegetation composition and structure of 337 randomly sampled subwatersheds (9500 ha average size) in 43 subbasins (404 000 ha average size). We compared landscape patterns, vegetation structure and composition, and landscape vulnerability to wildfires...

  17. 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...

  18. The Limits of Offshore Balancing

    DTIC Science & Technology

    2015-09-01

    believe, is to adopt a minimalist approach referred to as “offshore balancing.” Briefly stated, offshore balancing envisions a dramatic reduction in...behavior from allies and adversaries alike. The proper response to this situation, they believe, is to adopt a minimalist approach usually referred to as...as a minimalist , or free-hand strategy, because it asserts that America can attain that goal while also shedding obligations and resources.30 Indeed

  19. 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...

  20. 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...

  1. 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...

  2. 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...

  3. Work Element B: 157. Sampling in Fish-Bearing Reaches [Variation in Productivity in Headwater Reaches of the Wenatchee Subbasin], Final Report for PNW Research Station.

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Polivka, Karl; Bennett, Rita L.

    2009-03-31

    We studied variation in productivity in headwater reaches of the Wenatchee subbasin for multiple field seasons with the objective that we could develop methods for monitoring headwater stream conditions at the subcatchment and stream levels, assign a landscape-scale context via the effects of geoclimatic parameters on biological productivity (macroinvertebrates and fish) and use this information to identify how variability in productivity measured in fishless headwaters is transmitted to fish communities in downstream habitats. In 2008, we addressed this final objective. In collaboration with the University of Alaska Fairbanks we found some broad differences in the production of aquatic macroinvertebrates andmore » in fish abundance across categories that combine the effects of climate and management intensity within the subbasin (ecoregions). From a monitoring standpoint, production of benthic macroinvertebrates was not a good predictor of drifting macroinvertebrates and therefore might be a poor predictor of food resources available to fish. Indeed, there is occasionally a correlation between drifting macroinvertebrate abundance and fish abundance which suggests that headwater-derived resources are important. However, fish in the headwaters appeared to be strongly food-limited and there was no evidence that fishless headwaters provided a consistent subsidy to fish in reaches downstream. Fish abundance and population dynamics in first order headwaters may be linked with similar metrics further down the watershed. The relative strength of local dynamics and inputs into productivity may be constrained or augmented by large-scale biogeoclimatic control. Headwater streams are nested within watersheds, which are in turn nested within ecological subregions; thus, we hypothesized that local effects would not necessarily be mutually exclusive from large-scale influence. To test this we examined the density of primarily salmonid fishes at several spatial and temporal

  4. 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...

  5. Killer Whale (Orcinus orca) Predation on Beaked Whales (Mesoplodon spp.) in the Bremer Sub-Basin, Western Australia.

    PubMed

    Wellard, Rebecca; Lightbody, Keith; Fouda, Leila; Blewitt, Michelle; Riggs, David; Erbe, Christine

    2016-01-01

    Observations of killer whales (Orcinus orca) feeding on the remains of beaked whales have been previously documented; however, to date, there has been no published account of killer whales actively preying upon beaked whales. This article describes the first field observations of killer whales interacting with, hunting and preying upon beaked whales (Mesoplodon spp.) on four separate occasions during 2014, 2015 and 2016 in the Bremer Sub-Basin, off the south coast of Western Australia.

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

    PubMed

    Wang, J

    2002-01-01

    Tragic marine and offshore accidents have caused serious consequences including loss of lives, loss of property, and damage of the environment. A proactive, risk-based "goal setting" regime is introduced to the marine and offshore industries to increase the level of safety. To maximize marine and offshore safety, risks need to be modeled and safety-based decisions need to be made in a logical and confident way. Risk modeling and decision-making tools need to be developed and applied in a practical environment. This paper describes both the offshore safety case approach and formal safety assessment of ships in detail with particular reference to the design aspects. The current practices and the latest development in safety assessment in both the marine and offshore industries are described. The relationship between the offshore safety case approach and formal ship safety assessment is described and discussed. Three examples are used to demonstrate both the offshore safety case approach and formal ship safety assessment. The study of risk criteria in marine and offshore safety assessment is carried out. The recommendations on further work required are given. This paper gives safety engineers in the marine and offshore industries an overview of the offshore safety case approach and formal ship safety assessment. The significance of moving toward a risk-based "goal setting" regime is given.

  7. 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...

  8. Offshore fatigue design turbulence

    NASA Astrophysics Data System (ADS)

    Larsen, Gunner C.

    2001-07-01

    Fatigue damage on wind turbines is mainly caused by stochastic loading originating from turbulence. While onshore sites display large differences in terrain topology, and thereby also in turbulence conditions, offshore sites are far more homogeneous, as the majority of them are likely to be associated with shallow water areas. However, despite this fact, specific recommendations on offshore turbulence intensities, applicable for fatigue design purposes, are lacking in the present IEC code. This article presents specific guidelines for such loading. These guidelines are based on the statistical analysis of a large number of wind data originating from two Danish shallow water offshore sites. The turbulence standard deviation depends on the mean wind speed, upstream conditions, measuring height and thermal convection. Defining a population of turbulence standard deviations, at a given measuring position, uniquely by the mean wind speed, variations in upstream conditions and atmospheric stability will appear as variability of the turbulence standard deviation. Distributions of such turbulence standard deviations, conditioned on the mean wind speed, are quantified by fitting the measured data to logarithmic Gaussian distributions. By combining a simple heuristic load model with the parametrized conditional probability density functions of the turbulence standard deviations, an empirical offshore design turbulence intensity is determined. For pure stochastic loading (as associated with standstill situations), the design turbulence intensity yields a fatigue damage equal to the average fatigue damage caused by the distributed turbulence intensity. If the stochastic loading is combined with a periodic deterministic loading (as in the normal operating situation), the proposed design turbulence intensity is shown to be conservative.

  9. Investigating daily fatigue scores during two-week offshore day shifts.

    PubMed

    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

  10. The Offshore New European Wind Atlas

    NASA Astrophysics Data System (ADS)

    Karagali, I.; Hahmann, A. N.; Badger, M.; Hasager, C.; Mann, J.

    2017-12-01

    The New European Wind Atlas (NEWA) is a joint effort of research agencies from eight European countries, co-funded under the ERANET Plus Program. The project is structured around two areas of work: development of dynamical downscaling methodologies and measurement campaigns to validate these methodologies, leading to the creation and publication of a European wind atlas in electronic form. This atlas will contain an offshore component extending 100 km from the European coasts. To achieve this, mesoscale models along with various observational datasets are utilised. Scanning lidars located at the coastline were used to compare the coastal wind gradient reproduced by the meso-scale model. Currently, an experimental campaign is occurring in the Baltic Sea, with a lidar located in a commercial ship sailing from Germany to Lithuania, thus covering the entire span of the south Baltic basin. In addition, satellite wind retrievals from scatterometers and Synthetic Aperture Radar (SAR) instruments were used to generate mean wind field maps and validate offshore modelled wind fields and identify the optimal model set-up parameters.The aim of this study is to compare the initial outputs from the offshore wind atlas produced by the Weather & Research Forecasting (WRF) model, still in pre-operational phase, and the METOP-A/B Advanced Scatterometer (ASCAT) wind fields, reprocessed to stress equivalent winds at 10m. Different experiments were set-up to evaluate the model sensitivity for the various domains covered by the NEWA offshore atlas. ASCAT winds were utilised to assess the performance of the WRF offshore atlases. In addition, ASCAT winds were used to create an offshore atlas covering the years 2007 to 2016, capturing the signature of various spatial wind features, such as channelling and lee effects from complex coastal topographical elements.

  11. 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...

  12. 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...

  13. 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...

  14. 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...

  15. NREL Researchers Play Integral Role in National Offshore Wind Strategy |

    Science.gov Websites

    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

  16. Evolution of Meso-Cenozoic lithospheric thermal-rheological structure in the Jiyang sub-basin, Bohai Bay Basin, eastern North China Craton

    NASA Astrophysics Data System (ADS)

    Xu, Wei; Qiu, Nansheng; Wang, Ye; Chang, Jian

    2018-01-01

    The Meso-Cenozoic lithospheric thermal-rheological structure and lithospheric strength evolution of the Jiyang sub-basin were modeled using thermal history, crustal structure, and rheological parameter data. Results indicate that the thermal-rheological structure of the Jiyang sub-basin has exhibited obvious rheological stratification and changes over time. During the Early Mesozoic, the uppermost portion of the upper crust, middle crust, and the top part of the upper mantle had a thick brittle layer. During the early Early Cretaceous, the top of the middle crust's brittle layer thinned because of lithosphere thinning and temperature increase, and the uppermost portion of the upper mantle was almost occupied by a ductile layer. During the late Early Cretaceous, the brittle layer of the middle crust and the upper mantle changed to a ductile one. Then, the uppermost portion of the middle crust changed to a thin brittle layer in the late Cretaceous. During the early Paleogene, the thin brittle layer of the middle crust became even thinner and shallower under the condition of crustal extension. Currently, with the decrease in lithospheric temperature, the top of the upper crust, middle crust, and the uppermost portion of the upper mantle are of a brittle layer. The total lithospheric strength and the effective elastic thickness ( T e) in Meso-Cenozoic indicate that the Jiyang sub-basin experienced two weakened stages: during the late Early Cretaceous and the early Paleogene. The total lithospheric strength (approximately 4-5 × 1013 N m-1) and T e (approximately 50-60 km) during the Early Mesozoic was larger than that after the Late Jurassic (2-7 × 1012 N m-1 and 19-39 km, respectively). The results also reflect the subduction, and rollback of Pacific plate is the geodynamic mechanism of the destruction of the eastern North China Craton.

  17. 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...

  18. 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...

  19. Killer Whale (Orcinus orca) Predation on Beaked Whales (Mesoplodon spp.) in the Bremer Sub-Basin, Western Australia

    PubMed Central

    Lightbody, Keith; Fouda, Leila; Blewitt, Michelle; Riggs, David; Erbe, Christine

    2016-01-01

    Observations of killer whales (Orcinus orca) feeding on the remains of beaked whales have been previously documented; however, to date, there has been no published account of killer whales actively preying upon beaked whales. This article describes the first field observations of killer whales interacting with, hunting and preying upon beaked whales (Mesoplodon spp.) on four separate occasions during 2014, 2015 and 2016 in the Bremer Sub-Basin, off the south coast of Western Australia. PMID:27923044

  20. New OBS network deployment offshore Ireland

    NASA Astrophysics Data System (ADS)

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

    2016-04-01

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

  1. Integrated analysis of landscape management scenarios using state and transition models in the upper Grande Ronde River subbasin, Oregon, USA.

    Treesearch

    Miles A. Hemstrom; James Merzenich; Allison Reger; Barbara. Wales

    2007-01-01

    We modeled the integrated effects of natural disturbances and management activities for three disturbance scenarios on a 178 000-ha landscape in the upper Grande Ronde subbasin of northeast Oregon. The landscape included three forest environments (warm-dry, cool-moist, and cold) as well as a mixture of publicly and privately owned lands. Our models were state and...

  2. 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...

  3. 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...

  4. 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...

  5. 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...

  6. 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...

  7. Estimating Water Storage Capacity of Existing and Potentially Restorable Wetland Depressions in a Subbasin of the Red River of the North

    USGS Publications Warehouse

    Gleason, Robert A.; Tangen, Brian A.; Laubhan, Murray K.; Kermes, Kevin E.; Euliss, Ned H.

    2007-01-01

    climatic scenarios. To address these goals, we developed models and approaches to spatially represent storage volumes and interception areas of existing and potentially restorable wetlands in the upper Mustinka subbasin within Grant County, Minn. We then developed and applied a model to simulate wetland water storage increases that would result from restoring 25 and 50 percent of the farmed and drained wetlands in the upper Mustinka subbasin. The model simulations were performed during the growing season (May-October) for relatively wet (1993; 0.79 m of precipitation) and dry (1987; 0.40 m of precipitation) years. Results from the simulations indicated that the 25 percent restoration scenario would increase water storage by 21-24 percent and that a 50 percent scenario would increase storage by 34-38 percent. Additionally, we estimated that wetlands in the subbasin have potential to store 11.57-20.98 percent of the total precipitation that fell over the entire subbasin area (52,758 ha). Our simulation results indicated that there is considerable potential to enhance water storage in the subbasin; however, evaluation and calibration of the model is necessary before simulation results can be applied to management and planning decisions. In this report we present guidance for the development and application of models (e.g., surface area-volume predictive models, hydrology simulation model) to simulate wetland water storage to provide a basis from which to understand and predict the effects of natural or human-induced hydrologic alterations. In developing these approaches, we tried to use simple and widely available input data to simulate wetland hydrology and predict wetland water storage for a specific precipitation event or a series of events. Further, the hydrology simulation model accounted for land use and soil type, which influence surface water inputs to wetlands. Although information presented in this report is specific to the Mustinka subbasin, the approaches

  8. Crustal structure of the Southwest Subbasin, South China Sea, from wide-angle seismic tomography and seismic reflection imaging

    NASA Astrophysics Data System (ADS)

    Yu, Zhiteng; Li, Jiabiao; Ding, Weiwei; Zhang, Jie; Ruan, Aiguo; Niu, Xiongwei

    2017-06-01

    The Southwest Subbasin (SWSB) is an abyssal subbasin in the South China Sea (SCS), with many debates on its neotectonic process and crustal structure. Using two-dimensional seismic tomography in the SWSB, we derived a detailed P-wave velocity model of the basin area and the northern margin. The entire profile is approximately 311-km-long and consists of twelve oceanic bottom seismometers (OBSs). The average thickness of the crust beneath the basin is 5.3 km, and the Moho interface is relatively flat (10-12 km). No high velocity bodies are observed, and only two thin high-velocity structures ( 7.3 km/s) in the layer 3 are identified beneath the northern continent-ocean transition (COT) and the extinct spreading center. By analyzing the P-wave velocity model, we believe that the crust of the basin is a typical oceanic crust. Combined with the high resolution multi-channel seismic profile (MCS), we conclude that the profile shows asymmetric structural characteristics in the basin area. The continental margin also shows asymmetric crust between the north and south sides, which may be related to the large scale detachment fault that has developed in the southern margin. The magma supply decreased as the expansion of the SWSB from the east to the west.

  9. 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.

  10. A quantile count model of water depth constraints on Cape Sable seaside sparrows

    USGS Publications Warehouse

    Cade, B.S.; Dong, Q.

    2008-01-01

    1. A quantile regression model for counts of breeding Cape Sable seaside sparrows Ammodramus maritimus mirabilis (L.) as a function of water depth and previous year abundance was developed based on extensive surveys, 1992-2005, in the Florida Everglades. The quantile count model extends linear quantile regression methods to discrete response variables, providing a flexible alternative to discrete parametric distributional models, e.g. Poisson, negative binomial and their zero-inflated counterparts. 2. Estimates from our multiplicative model demonstrated that negative effects of increasing water depth in breeding habitat on sparrow numbers were dependent on recent occupation history. Upper 10th percentiles of counts (one to three sparrows) decreased with increasing water depth from 0 to 30 cm when sites were not occupied in previous years. However, upper 40th percentiles of counts (one to six sparrows) decreased with increasing water depth for sites occupied in previous years. 3. Greatest decreases (-50% to -83%) in upper quantiles of sparrow counts occurred as water depths increased from 0 to 15 cm when previous year counts were 1, but a small proportion of sites (5-10%) held at least one sparrow even as water depths increased to 20 or 30 cm. 4. A zero-inflated Poisson regression model provided estimates of conditional means that also decreased with increasing water depth but rates of change were lower and decreased with increasing previous year counts compared to the quantile count model. Quantiles computed for the zero-inflated Poisson model enhanced interpretation of this model but had greater lack-of-fit for water depths > 0 cm and previous year counts 1, conditions where the negative effect of water depths were readily apparent and fitted better with the quantile count model.

  11. Solar power satellite offshore rectenna study

    NASA Technical Reports Server (NTRS)

    1980-01-01

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

  12. Groundwater quality in the shallow aquifers of the Madera–Chowchilla and Kings subbasins, San Joaquin Valley, California

    USGS Publications Warehouse

    Fram, Miranda S.; Shelton, Jennifer L.

    2018-01-08

    Groundwater provides more than 40 percent of California’s drinking water. To protect this vital resource, the State of California created the Groundwater Ambient Monitoring and Assessment (GAMA) Program. The GAMA Program’s Priority Basin Project assesses the quality of groundwater resources used for drinking-water supply and increases public access to groundwater-quality information. Many households and small communities in the Madera– Chowchilla and Kings subbasins of the San Joaquin Valley rely on private domestic wells for their drinking-water supplies.

  13. Simulation of streamflow and water quality in the Brandywine Creek subbasin of the Christina River basin, Pennsylvania and Delaware, 1994-98

    USGS Publications Warehouse

    Senior, Lisa A.; Koerkle, Edward H.

    2003-01-01

    The Christina River Basin drains 565 mi2 (square miles) in Pennsylvania and Delaware. Water from the basin is used for recreation, drinking-water supply, and to support aquatic life. The Christina River Basin includes the major subbasins of Brandywine Creek, Red Clay Creek, White Clay Creek, and Christina River. The Brandywine Creek is the largest of the subbasins and drains an area of 327 mi2. Water quality in some parts of the Christina River Basin is impaired and does not support designated uses of the streams. A multi-agency water-quality management strategy included a modeling component to evaluate the effects of point and nonpoint-source contributions of nutrients and suspended sediment on streamwater quality. To assist in nonpoint-source evaluation, four independent models, one for each of the four main subbasins of the Christina River Basin, were developed and calibrated using the model code Hydrological Simulation Program—Fortran (HSPF). Water-quality data for model calibration were collected in each of the four main subbasins and in small subbasins predominantly covered by one land use following a nonpoint-source monitoring plan. Under this plan, stormflow and base-flow samples were collected during 1998 at six sites in the Brandywine Creek subbasin and five sites in the other subbasins.The HSPF model for the Brandywine Creek Basin simulates streamflow, suspended sediment, and the nutrients, nitrogen and phosphorus. In addition, the model simulates water temperature, dissolved oxygen, biochemical oxygen demand, and plankton as secondary objectives needed to support the sediment and nutrient simulations. For the model, the basin was subdivided into 35 reaches draining areas that ranged from 0.6 to 18 mi2. Three of the reaches contain regulated reservoir. Eleven different pervious land uses and two impervious land uses were selected for simulation. Land-use areas were determined from 1995 land-use data. The predominant land uses in the basin are forested

  14. 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

  15. On the role of snow cover ablation variability and synoptic-scale atmospheric forcings at the sub-basin scale within the Great Lakes watershed

    NASA Astrophysics Data System (ADS)

    Suriano, Zachary J.

    2018-02-01

    Synoptic-scale atmospheric conditions play a critical role in determining the frequency and intensity of snow cover ablation in the mid-latitudes. Using a synoptic classification technique, distinct regional circulation patterns influencing the Great Lakes basin of North America are identified and examined in conjunction with daily snow ablation events from 1960 to 2009. This approach allows for the influence of each synoptic weather type on ablation to be examined independently and for the monthly and inter-annual frequencies of the weather types to be tracked over time. Because of the spatial heterogeneity of snow cover and the relatively large geographic extent of the Great Lakes basin, snow cover ablation events and the synoptic-scale patterns that cause them are examined for each of the Great Lakes watershed's five primary sub-basins to understand the regional complexities of snow cover ablation variability. Results indicate that while many synoptic weather patterns lead to ablation across the basins, they can be generally grouped into one of only a few primary patterns: southerly flow, high-pressure overhead, and rain-on-snow patterns. As expected, the patterns leading to ablation are not necessarily consistent between the five sub-basins due to the seasonality of snow cover and the spatial variability of temperature, moisture, wind, and incoming solar radiation associated with the particular synoptic weather types. Significant trends in the inter-annual frequency of ablation-inducing synoptic types do exist for some sub-basins, indicating a potential change in the hydrologic impact of these patterns over time.

  16. Late Miocene-Pleistocene evolution of a Rio Grande rift subbasin, Sunshine Valley-Costilla Plain, San Luis Basin, New Mexico and Colorado

    USGS Publications Warehouse

    Ruleman, C.A.; Thompson, R.A.; Shroba, R.R.; Anderson, M.; Drenth, B.J.; Rotzien, J.; Lyon, J.

    2013-01-01

    The Sunshine Valley-Costilla Plain, a structural subbasin of the greater San Luis Basin of the northern Rio Grande rift, is bounded to the north and south by the San Luis Hills and the Red River fault zone, respectively. Surficial mapping, neotectonic investigations, geochronology, and geophysics demonstrate that the structural, volcanic, and geomorphic evolution of the basin involves the intermingling of climatic cycles and spatially and temporally varying tectonic activity of the Rio Grande rift system. Tectonic activity has transferred between range-bounding and intrabasin faults creating relict landforms of higher tectonic-activity rates along the mountain-piedmont junction. Pliocene–Pleistocene average long-term slip rates along the southern Sangre de Cristo fault zone range between 0.1 and 0.2 mm/year with late Pleistocene slip rates approximately half (0.06 mm/year) of the longer Quaternary slip rate. During the late Pleistocene, climatic influences have been dominant over tectonic influences on mountain-front geomorphic processes. Geomorphic evidence suggests that this once-closed subbasin was integrated into the Rio Grande prior to the integration of the once-closed northern San Luis Basin, north of the San Luis Hills, Colorado; however, deep canyon incision, north of the Red River and south of the San Luis Hills, initiated relatively coeval to the integration of the northern San Luis Basin.Long-term projections of slip rates applied to a 1.6 km basin depth defined from geophysical modeling suggests that rifting initiated within this subbasin between 20 and 10 Ma. Geologic mapping and geophysical interpretations reveal a complex network of northwest-, northeast-, and north-south–trending faults. Northwest- and northeast-trending faults show dual polarity and are crosscut by north-south– trending faults. This structural model possibly provides an analog for how some intracontinental rift structures evolve through time.

  17. 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.

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

    PubMed

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

    2013-12-01

    The U.S. Department of Energy has estimated that over 50 GW of offshore wind power will be required for the United States to generate 20% of its electricity from wind. Developers are actively planning offshore wind farms along the U.S. Atlantic and Gulf coasts and several leases have been signed for offshore sites. These planned projects are in areas that are sometimes struck by hurricanes. We present a method to estimate the catastrophe risk to offshore wind power using simulated hurricanes. Using this method, we estimate the fraction of offshore wind power simultaneously offline and the cumulative damage in a region. In Texas, the most vulnerable region we studied, 10% of offshore wind power could be offline simultaneously because of hurricane damage with a 100-year return period and 6% could be destroyed in any 10-year period. We also estimate the risks to single wind farms in four representative locations; we find the risks are significant but lower than those estimated in previously published results. Much of the hurricane risk to offshore wind turbines can be mitigated by designing turbines for higher maximum wind speeds, ensuring that turbine nacelles can turn quickly to track the wind direction even when grid power is lost, and building in areas with lower risk. © 2013 Society for Risk Analysis.

  19. Foundations for offshore wind turbines.

    PubMed

    Byrne, B W; Houlsby, G T

    2003-12-15

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

  20. 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

  1. 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...

  2. Solar power satellite offshore rectenna study

    NASA Technical Reports Server (NTRS)

    1980-01-01

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

  3. Fair shares: a preliminary framework and case analyzing the ethics of offshoring.

    PubMed

    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.

  4. Quantifying the hurricane risk to offshore wind turbines.

    PubMed

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

    2012-02-28

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

  5. Quantifying the hurricane risk to offshore wind turbines

    PubMed Central

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

    2012-01-01

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

  6. 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.…

  7. 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

  8. 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

  9. Emergency Medicine in Remote Regions.

    PubMed

    Renouf, Tia; Pollard, Megan

    2016-09-09

    Rural and remote places like Sable Island (Nova Scotia) or François (Newfoundland) pose a challenge in delivering both health care and appropriate education that today's learners need to practice in a rural setting. This education can be difficult to deliver to students far from academic centers. This is especially true for learners and practitioners at offshore locations like ships, oil installations, or in the air when patients are transported via fixed wing aircraft or helicopter. The following editorial provides a snapshot of the setting and the challenges faced while working as a physician on a ship, in remote regions.

  10. Organic geochemical characterisation of shallow marine Cretaceous formations from Yola Sub-basin, Northern Benue Trough, NE Nigeria

    NASA Astrophysics Data System (ADS)

    Sarki Yandoka, Babangida M.; Abdullah, Wan Hasiah; Abubakar, M. B.; Hakimi, Mohammed Hail; Jauro, Aliyu; Adegoke, Adebanji Kayode

    2016-05-01

    The shallow marine shales of the Cretaceous formations namely Yolde, Dukul, Jessu, Sekuliye and Numanha ranging in age from Cenomanian to Coniacian within the Yola Sub-basin in the Northern Benue Trough, northeastern Nigeria were analysed to provide an overview on their hydrocarbon generation potential. This study is based on pyrolysis analysis, total organic carbon content (TOC), extractable organic matter (EOM), biomarker distributions and measured vitrinite reflectance. The present-day TOC contents range between 0.24 and 0.71 wt. % and Hydrogen Index (HI) values between 8.7 and 113 mg HC/g TOC with Type III/IV kerogens. Based on the present-day kerogen typing, the shale sediments are expected to generate mainly gas. Biomarker compositions indicates deposition in a marine environment under suboxic conditions with prevalent contribution of aquatic organic matter and a significant amount of terrigenous organic matter input. Organic matter that is dominated by marine components contains kerogens of Type II and Type II-III. This study shows that the organic matter has been affected by volcanic intrusion and consequently, have reached post-mature stage of oil generation. These higher thermal maturities levels are consistent with the vitrinite reflectance ranging from 0.85 to 2.35 Ro % and high Tmax (440-508 °C) values as supported by biomarker maturity ratios. Based on this study, a high prospect for major gas and minor oil generation potential is anticipated from the shallow marine Cretaceous formations from Yola Sub-basin.

  11. New perspectives in offshore wind energy

    PubMed Central

    Failla, Giuseppe; Arena, Felice

    2015-01-01

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

  12. 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)

  13. 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...

  14. 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...

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

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Kempton, Willett

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

  16. 78 FR 27913 - Revision of Crane Regulation Standards for Mobile Offshore Drilling Units (MODUs), Offshore...

    Federal Register 2010, 2011, 2012, 2013, 2014

    2013-05-13

    ...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.

  17. Simulation of streamflow and water quality in the Red Clay Creek subbasin of the Christina River Basin, Pennsylvania and Delaware, 1994-98

    USGS Publications Warehouse

    Senior, Lisa A.; Koerkle, Edward H.

    2003-01-01

    The Christina River Basin drains 565 square miles (mi2) in Pennsylvania and Delaware and includes the major subbasins of Red Clay Creek, White Clay Creek, Brandywine Creek, and Christina River. The Red Clay Creek is the smallest of the subbasins and drains an area of 54 mi2. Streams in the Christina River Basin are used for recreation, drinking-water supply, and to support aquatic life. Water quality in some parts of the Christina River Basin is impaired and does not support designated uses of the stream. A multi-agency, waterquality management strategy included a modeling component to evaluate the effects of point and nonpointsource contributions of nutrients and suspended sediment on stream water quality. To assist in nonpointsource evaluation, four independent models, one for each of the four main subbasins of the Christina River Basin, were developed and calibrated using the model code Hydrological Simulation Program?Fortran (HSPF). Water-quality data for model calibration were collected in each of the four main subbasins and in smaller subbasins predominantly covered by one land use following a nonpoint-source monitoring plan. Under this plan, stormflow and base-flow samples were collected during 1998 at 1 site in the Red Clay Creek subbasin and at 10 sites elsewhere in the Christina River Basin.The HSPF model for the Red Clay Creek subbasin simulates streamflow, suspended sediment, and the nutrients, nitrogen and phosphorus. In addition, the model simulates water temperature, dissolved oxygen, biochemical oxygen demand, and plankton as secondary objectives needed to support the sediment and nutrient simulations. For the model, the basin was subdivided into nine reaches draining areas that ranged from 1.7 to 10 mi2. One of the reaches contains a regulated reservoir. Ten different pervious land uses and two impervious land uses were selected for simulation. Land-use areas were determined from 1995 land-use data. The predominant land uses in the Red Clay Creek

  18. Grid Integration of Offshore Wind | Wind | NREL

    Science.gov Websites

    . 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

  19. Travel Time Tomographic Imaging of Shallow Fore-arc Basin Structure at the Cascadia Subduction Zone Offshore Washington and Oregon

    NASA Astrophysics Data System (ADS)

    Azarm, R.; Carton, H. D.; Carbotte, S. M.; Han, S.; Canales, J. P.; Nedimovic, M. R.

    2016-12-01

    We conduct a P-wave tomography study of shallow fore-arc basin structure at the Cascadia subduction zone using first-arrival travel times from two multi-channel seismic (MCS) profiles acquired with an 8-km long streamer in the frame of the 2012 Juan de Fuca Ridge to Trench program. The first profile extends offshore Gray's Harbor in Washington and the second extends offshore Oregon at the latitude of Hydrate ridge, with the fore-arc basin imaged below ˜60 and ˜70-km long shallow water (< 500 m) portions of these profiles, respectively. We use the travel time tomography method of VanAvendonk et al. [2004], which is based on the shortest path method for ray tracing, and iterative inversions driven by gradual reduction of the chi-square misfit (root mean square value of the difference between predicted and observed travel times normalized by pick uncertainty). We construct our starting model by hanging from the seafloor a 1D velocity profile based on interval velocities derived from semblance analysis of MCS data. Resolvability of the final model is assessed using checkerboard pattern tests with different anomaly sizes. We then compare our tomographically-derived velocity models to coincident seismic reflection images post-stack time migrated and converted to depth using our results. On the Washington shelf, where the fore-arc basin is segmented into three sub-basins, ray coverage mostly extends to ˜1.2-1.5 km below seafloor. Velocities in the shallowmost sediments show, at the large scale, a gradual decrease towards the shelf edge (from 2.1 to 1.8 km/s). At depth, regions devoid of clear reflections such as an ˜5 km large anticline core are associated with lower velocities than that obtained within mildly deformed sedimentary layers on either side (2.3 vs 2.7 km/s, measured at 1.2 km depth), suggesting the presence of localized fluid-rich regions within the basin. Analysis of the Oregon line is ongoing and results will be presented at the meeting.

  20. Shift work at a modern offshore drilling rig.

    PubMed

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

    2001-12-01

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

  1. 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)

  2. 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.

  3. Mapping seabird sensitivity to offshore wind farms.

    PubMed

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

    2014-01-01

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

  4. 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...

  5. 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.

  6. Aquifer-storage change in the lower Canada del Oro Subbasin, Pima County, Arizona, 1996-98

    USGS Publications Warehouse

    Pool, D.R.

    1999-01-01

    Aquifer storage was monitored using gravity methods in the Lower Canada del Oro subbasin from 1996 through 1998 to determine areas of infiltration and amounts of recharge along the Canada del Oro Wash after major surface flow and to estimate aquifer-storage change and specific-yield values for the regional aquifer.  Both purposes were addressed by periodic monitoring of changes in aquifer storage and water levels at a network of gravity stations and monitor wells.  Water levels and gravity were also monitored near an active withdrawal well for several months for the purpose of estimating specific yield of the aquifer within the cone of water-leel depression at the well.

  7. Umatilla River Subbasin Fish Habitat Improvement Program, 2004-2005 Annual Report.

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    St. Hilaire, Danny R.

    This annual report is in fulfillment of contractual obligations with Bonneville Power Administration (BPA), which is the funding source for the Oregon Department of Fish and Wildlife's (ODFW), Umatilla River Subbasin Fish Habitat Improvement Program (Program). The Program works cooperatively with private landowners to develop long-term restoration, under which, passive and active Habitat Improvement Projects are conducted. Historically, projects have included livestock exclusion fencing (passive restoration) to protect riparian habitats, along with the installation of instream structures (active restoration) to address erosion and improve fish habitat. In recent years, the focus of active restoration has shifted to bioengineering treatments and,more » more recently, to channel re-design and reconstruction aimed at improving fish habitat, by restoring stable channel function. This report provides a summary of Program activities for the 2004 calendar year (January 1 through December 31, 2004), within each of the four main project phases, including: (1) Implementation--Pre-Work, (2) Implementation--On Site Development, (3) Operation and Maintenance, and (4) Monitoring and Evaluation. This report also summarizes Program Administrative, Interagency Coordination, and Public Education activities.« less

  8. 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

  9. Offshore teleradiology.

    PubMed

    Bradley, William G

    2004-04-01

    Radiologists are responsible for providing prompt emergency radiology interpretations 24 hours a day, every day of the year. As a result of the increasing use of multidetector computed tomography, emergency radiology has increased significantly in volume over the past 5 years. Simultaneously, radiologists are working harder during the day because of the workforce shortage. Although teleradiology services located in the continental United States have been providing efficient coverage until recently, they are now having increasing difficulty recruiting radiologists who are willing to work at night. Addressing this problem is "offshore teleradiology." With the increasing use of several enabling technologies--Digital Imaging and Communication in Medicine, the picture archiving and communication system, and the Internet-it is now possible to cover a domestic radiology practice at night from any location in the world where it is daytime. Setting up such a practice is nontrivial, however. The radiologists must all be American trained and certified by the American Board of Radiology. They must have medical licenses in every state and privileges at every hospital they cover. This article describes some of the details involved in setting up an offshore teleradiology practice. It also attempts to make a financial case for using such a practice, particularly in the current economic environment.

  10. 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...

  11. 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...

  12. 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...

  13. 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...

  14. 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

  15. 2014 Offshore Wind Market and Economic Analysis

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Hamilton, Bruce

    2014-08-25

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

  16. New perspectives in offshore wind energy.

    PubMed

    Failla, Giuseppe; Arena, Felice

    2015-02-28

    The design of offshore wind turbines is one of the most fascinating challenges in renewable energy. Meeting the objective of increasing power production with reduced installation and maintenance costs requires a multi-disciplinary approach, bringing together expertise in different fields of engineering. The purpose of this theme issue is to offer a broad perspective on some crucial aspects of offshore wind turbines design, discussing the state of the art and presenting recent theoretical and experimental studies. © 2015 The Author(s) Published by the Royal Society. All rights reserved.

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

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Shannon, B.E.

    1995-12-31

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

  18. 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.

  19. Using Cape Sable seaside sparrow distribution data for water management decision support

    USGS Publications Warehouse

    Beerens, James M.; Romañach, Stephanie

    2016-01-01

    The Cape Sable Seaside Sparrow (Ammodramus maritimus mirabilis; hereafter sparrow) is endemic to south Florida and a key indicator species of marl prairie, the most diverse freshwater community in the Florida Everglades. Marl prairie habitat is shaped by intermediate levels of disturbances such as flooding, drying, and fire, which maintain periphyton production (Gaiser et al. 2011), vegetation composition (Sah et al. 2011), and habitat structure for wildlife (Lockwood et al. 2003). Historically, patches of marl prairie shifted in response to changing climatic conditions,; however, habitat loss and hydrologic alteration have restricted the sparrow’s range and increased their sensitivity to changing hydropatterns. As a result, sparrow numbers have declined as much as 60% range-wide since 1992 (Curnutt et al. 1998, Nott et al. 1998). Currently, the sparrow is restricted to the freshwater prairies of the Everglades National Park (ENP) and Big Cypress Preserve (Lockwood et al. 1997). Because this non-migratory bird is restricted in its range it was among the first species to be listed as endangered by the US Fish and Wildlife Service on March 11, 1967 (Pimm et al. 2000). Now protected by the Endangered Species Act of 1973, the sparrow is listed as an endangered species, and the marl prairies that it resides in are listed as critical habitat. Since its designation as an endangered species, federal agencies have a statutory obligation to not jeopardize the survival of the species or modify its critical habitat. However, there are still uncertainties in how to increase suitable habitat within and surrounding the six existing sparrow subpopulations (Fig. 1) which are vulnerable to environmental stochasticity because of their small population size and restricted range. Since Because maintenance and creation of suitable habitat is seen as the most important pathway to the persistence of sparrow subpopulations (Sustainable Ecosystems Institute 2007), emphasis should be on

  20. Mapping Seabird Sensitivity to Offshore Wind Farms

    PubMed Central

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

    2014-01-01

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

  1. Evaluation of the Source and Transport of High Nitrate Concentrations in Ground Water, Warren Subbasin, California

    USGS Publications Warehouse

    Nishikawa, Tracy; Densmore, Jill N.; Martin, Peter; Matti, Jonathan

    2003-01-01

    Ground water historically has been the sole source of water supply for the Town of Yucca Valley in the Warren subbasin of the Morongo ground-water basin, California. An imbalance between ground-water recharge and pumpage caused ground-water levels in the subbasin to decline by as much as 300 feet from the late 1940s through 1994. In response, the local water district, Hi-Desert Water District, instituted an artificial recharge program in February 1995 using imported surface water to replenish the ground water. The artificial recharge program resulted in water-level recoveries of as much as 250 feet in the vicinity of the recharge ponds between February 1995 and December 2001; however, nitrate concentrations in some wells also increased from a background concentration of 10 milligrams per liter to more than the U.S. Environmental Protection Agency (USEPA) maximum contaminant level (MCL) of 44 milligrams per liter (10 milligrams per liter as nitrogen). The objectives of this study were to: (1) evaluate the sources of the high-nitrate concentrations that occurred after the start of the artificial-recharge program, (2) develop a ground-water flow and solute-transport model to better understand the source and transport of nitrates in the aquifer system, and (3) utilize the calibrated models to evaluate the possible effect of a proposed conjunctive-use project. These objectives were accomplished by collecting water-level and water-quality data for the subbasin and assessing changes that have occurred since artificial recharge began. Collected data were used to calibrate the ground-water flow and solute-transport models. Data collected for this study indicate that the areal extent of the water-bearing deposits is much smaller (about 5.5 square miles versus 19 square miles) than that of the subbasin. These water-bearing deposits are referred to in this report as the Warren ground-water basin. Faults separate the ground-water basin into five hydrogeologic units: the west

  2. 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.

  3. [Offshore work and the work of nurses on board: an integrative review].

    PubMed

    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.

  4. 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.

  5. 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

  6. Offshore Wind Energy Systems

    ERIC Educational Resources Information Center

    Musgrove, P.

    1978-01-01

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

  7. Work, eat and sleep: towards a healthy ageing at work program offshore.

    PubMed

    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

  8. 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...

  9. Nonconsensual clinical trials: a foreseeable risk of offshoring under global corporatism.

    PubMed

    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.

  10. 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…

  11. 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.

  12. Investigation on installation of offshore wind turbines

    NASA Astrophysics Data System (ADS)

    Wang, Wei; Bai, Yong

    2010-06-01

    Wind power has made rapid progress and should gain significance as an energy resource, given growing interest in renewable energy and clean energy. Offshore wind energy resources have attracted significant attention, as, compared with land-based wind energy resources, offshore wind energy resources are more promising candidates for development. Sea winds are generally stronger and more reliable and with improvements in technology, the sea has become a hot spot for new designs and installation methods for wind turbines. In the present paper, based on experience building offshore wind farms, recommended foundation styles have been examined. Furthermore, wave effects have been investigated. The split installation and overall installation have been illustrated. Methods appropriate when installing a small number of turbines as well as those useful when installing large numbers of turbines were analyzed. This investigation of installation methods for wind turbines should provide practical technical guidance for their installation.

  13. Accord near for offshore California oil shipments

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Not Available

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

  14. Preparation for and physiological responses to competing in the Marathon des Sables: a case report.

    PubMed

    Williams, N; Wickes, S J; Gilmour, K; Barker, N; Scott, J P R

    2014-02-01

    A case study into the preparation and physiological responses of competing in the Marathon des Sables (MDS) was conducted by preparing a male competitor for, and monitoring him during, his first attempt at the race. The aims of this case report were to (a) prepare and monitor an ex-Olympic, male rower (S1) during the 2010 race and; (b) compare his physiological responses and race performance to that of the current MDS record holder (S2). S1 (age 37 y; body mass 94.0 kg; height 1.92 m; VO(2peak) 66.0 ml·kg⁻¹·min⁻¹) and S2 (age 37 y; body mass 60.8 kg; height 1.68 m; VO(2peak) 65.9 ml·kg⁻¹·min⁻¹) completed a heat test and S1 subsequently underwent 7 d of heat acclimation prior to the MDS. Gastro-intestinal temperature (Tgi) and heart rate (HR) were measured for S1 during Stages 2, 4, and 5 of the MDS and pre- and post-stage body mass, and urine specific gravity were measured for all stages. Race time and average speeds were collected for S1 and S2. Total race times for S1 and S2 were 25:29:35 and 19:45:08 h:min:s. S1's mean (± 1 SD) percentage HR range (%HRR=[HR-HRmin]/[HRmax-HRmin]x100) was 66.1 ± 13.4% and Tgi ranged between 36.63-39.65°C. The results provide a case report on the physiological responses of a highly aerobically-trained, but novice ultra-endurance runner competing in the MDS, and allow for a comparison with an elite performer.

  15. Aircraft Boundary-layer Measurements in the Gulf of Tehuantepec

    NASA Astrophysics Data System (ADS)

    Friehe, Carl; Melville, W. K.

    2005-11-01

    Airborne flux, meteorological, and wave measurements were made from the NSF/NCAR EC130Q aircraft in the Gulf of Tehuantepec under strong boundary-layer gap winds up to 25 m/sec at 33 m height. Statistics of flux estimates were obtained from multiple 33-m tracks flown under reasonably stationary and homogeneous conditions. Flux divergence was obtained from stack patterns flown at various distances from shore. Tracks flown at 33 m between the stacks provided the pressure gradient and advection terms in the momentum balance. Near shore, flux divergence was important and approximately balanced by the pressure gradient and advective terms; off-shore (400 km), divergence was small and again approximately in balance with the other two terms. Data from dropsondes and the Scanning Aerosol Backscatter LIDAR (SABL) revealed that the internal boundary layer initially thins off-shore as the gap wind field spreads horizontally, and then thickens due to turbulent mixing and possible hydraulic effects. Supported by NSF Division of Ocean Sciences.

  16. Responses of two marine top predators to an offshore wind farm.

    PubMed

    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.

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

    USGS Publications Warehouse

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

    2011-01-01

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

  18. Chlorofluorocarbon and tritium age determination of ground-water recharge in the Ryan Flat subbasin, Trans-Pecos Texas

    USGS Publications Warehouse

    Bartolino, J.R.

    1997-01-01

    A study was conducted to determine the relative influence of mountain-front infiltration in the Ryan Flat subbasin and to determine whether recent recharge (post-1940), which is of importance to water-use planning, has reached the Salt Basin aquifer, Trans-Pecos Texas. The alluvial and volcanic Salt Basin aquifer lies within a bolson, and the average depth to water in most of the subbasin is approximately 250 feet. Concentrations of the chlorofluorocarbons CFC-11, CFC-12, and CFC-113, as well as tritium, were measured in water from 10 wells in the study area. CFC-model recharge dates ranged from pre-1940 to the early 1970's. Ground water in five wells had CFC-model dates of pre-1940 or pre-1945. Ground water in two wells had dates of the mid- to late 1940's. Ground water from one well had a CFC-model recharge age of the early 1950's. Samples from the remaining two wells were most probably contaminated in some manner and are probably unreliable. CFC-model ages were calculated independently for the three chlorofluorocarbons, though the presence of volatile organic compounds affected agreement among them. Tritium activities in the nine wells for which tritium was analyzed indicated pre-1953 recharge and thus agreed approximately with the CFC-model dates. Ground water was analyzed for selected water-quality constituents. Water from all wells met U.S. Environmental Protection Agency national primary and secondary drinking water standards for all tested constituents except fluoride in samples from three wells. Silica concentrations in water from six wells exceeded a range considered typical in natural waters.

  19. Effects of Offshore Wind Turbines on Ocean Waves

    NASA Astrophysics Data System (ADS)

    Wimer, Nicholas; Churchfield, Matthew; Hamlington, Peter

    2014-11-01

    Wakes from horizontal axis wind turbines create large downstream velocity deficits, thus reducing the available energy for downstream turbines while simultaneously increasing turbulent loading. Along with this deficit, however, comes a local increase in the velocity around the turbine rotor, resulting in increased surface wind speeds. For offshore turbines, these increased speeds can result in changes to the properties of wind-induced waves at the ocean surface. In this study, the characteristics and implications of such waves are explored by coupling a wave simulation code to the Simulator for Offshore Wind Farm Applications (SOWFA) developed by the National Renewable Energy Laboratory. The wave simulator and SOWFA are bi-directionally coupled using the surface wind field produced by an offshore wind farm to drive an ocean wave field, which is used to calculate a wave-dependent surface roughness that is fed back into SOWFA. The details of this combined framework are outlined. The potential for using the wave field created at offshore wind farms as an additional energy resource through the installation of on-site wave converters is discussed. Potential negative impacts of the turbine-induced wave field are also discussed, including increased oscillation of floating turbines.

  20. The general circulation in the eastern Algerian subbasin inferred from the ELISA experiment

    NASA Astrophysics Data System (ADS)

    Aubertin, E.; Millot, C.; Taupier-Letage, I.; Albérola, C.; Robin, S.; Font, J.

    2003-04-01

    About 40 current meters were set at nominal depths of 100, 350, 1000, 1800 and 2700 m on 9 moorings in the eastern Algerian subbasin from July 1997 to July 1998 during the ELISA operation (http://www.com.univ-mrs.fr/ELISA/). Most moorings were located on the 2800-m isobath, and all data sets were checked using the tidal currents analysis (Albérola et al., 1995). They allow i) confirming known features about the alongslope circulation, ii) proving that Algerian Eddies (AE's) can extend down to the bottom and iii) evidencing an anticlockwise circulation at intermediate and greater depths in the whole subbasin. i) At about 50 km from the Algerian and Sardinian coastlines, the general circulation is clearly alongslope and anticlockwise at all depths, as during previous experiments (Millot, 1994; Bouzinac et al., 1999). It is also confirmed that alongslope currents are generally larger closer to the bottom than at intermediate depths, with most annual means from 350 to 2700 m in the range 3-6 cm/s, up to about 10 cm/s at 2700 m on one mooring. This permanent (unless disturbed by AE's, see ii)) and extremely large circulation is still not well simulated by the general circulation models, which still prevents from getting a correct understanding of the functioning of the whole western basin. ii) During the experiment, three 100-200 km AE's (96-1, 97-1, and 98-2) have been identified following the anticlockwise circuit that was first specified by Fuda et al. (2000) in the study area. One of them (96-1), which had a lifetime of about 3 years (Puillat et al., 2002), remained stationary during about 5 months and was well sampled at that time by 3 moorings at least. This AE, as all AE's previously sampled (Millot et al., 1997; Ruiz et al., 2002), was clearly an anticyclone, not only in the surface AW layer, but also in the whole deep layer (i.e. down to 2800 m). Alongslope, the eddy-associated current is opposed to the general circulation at all depths, and can even be larger

  1. Sedimentology and sequence stratigraphy from outcrops of the Kribi-Campo sub-basin: Lower Mundeck Formation (Lower Cretaceous, southern Cameroon)

    NASA Astrophysics Data System (ADS)

    Ntamak-Nida, Marie Joseph; Bourquin, Sylvie; Makong, Jean-Claude; Baudin, François; Mpesse, Jean Engelbert; Ngouem, Christophe Itjoko; Komguem, Paul Bertrand; Abolo, Guy Martin

    2010-08-01

    The Kribi-Campo sub-basin is composed of an Early to Mid Cretaceous series from West Africa's Atlantic coast and is located in southern Cameroon in the Central African equatorial rain forest. It is the smallest coastal basin in Cameroon and forms the southern part of the Douala/Kribi-Campo basin known as Douala basin ( s.l.). Until now, no detailed sedimentological studies have been carried out on the outcrops of this basin located in the Campo area. The aim of this study was to characterise the depositional environments, vertical evolution and tectonic context of these Lower Cretaceous series in order to make a comparison with adjacent basins and replace them in the geodynamic context. Facies analysis of the Lower Mundeck Formation (Lower Cretaceous) indicates the presence of four major, interfigered facies associations, that are inferred to represent elements of an alluvial to lacustrine-fan delta system. The clast lithologies suggest proximity of relief supplying coarse-grained sediment during the deposition of the Lower Mundeck Formation at Campo. The general dip and direction of the bedding is approximately 10°-12°NW, which also corresponds to the orientation of the foliations in the underlying metamorphic basement. The main sedimentary succession is characterised by a major retrogradational/progradational cycle of Late Aptian age, evaluated at about 3 Ma, with a well-developed progradational trend characterised by fluctuations of the recognised depositional environments. Fluctuations in lake level and sediment supply were possibly controlled by active faults at the basin margin, although climatic changes may have also played a role. The consistently W-WNW palaeoflow of sediments suggests that the palaeorelief was located to the east and could be oriented in a NNE-SSW direction, downthrown to the west. Local outcrops dated as Albian, both north and south of the main outcrop, display some marine influence. These deposits are cut by 040-060 faults parallel to

  2. 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

  3. Climate change impacts on streamflow and subbasin-scale hydrology in the Upper Colorado River Basin.

    PubMed

    Ficklin, Darren L; Stewart, Iris T; Maurer, Edwin P

    2013-01-01

    In the Upper Colorado River Basin (UCRB), the principal source of water in the southwestern U.S., demand exceeds supply in most years, and will likely continue to rise. While General Circulation Models (GCMs) project surface temperature warming by 3.5 to 5.6°C for the area, precipitation projections are variable, with no wetter or drier consensus. We assess the impacts of projected 21(st) century climatic changes on subbasins in the UCRB using the Soil and Water Assessment Tool, for all hydrologic components (snowmelt, evapotranspiration, surface runoff, subsurface runoff, and streamflow), and for 16 GCMs under the A2 emission scenario. Over the GCM ensemble, our simulations project median Spring streamflow declines of 36% by the end of the 21(st) century, with increases more likely at higher elevations, and an overall range of -100 to +68%. Additionally, our results indicated Summer streamflow declines with median decreases of 46%, and an overall range of -100 to +22%. Analysis of hydrologic components indicates large spatial and temporal changes throughout the UCRB, with large snowmelt declines and temporal shifts in most hydrologic components. Warmer temperatures increase average annual evapotranspiration by ∼23%, with shifting seasonal soil moisture availability driving these increases in late Winter and early Spring. For the high-elevation water-generating regions, modest precipitation decreases result in an even greater water yield decrease with less available snowmelt. Precipitation increases with modest warming do not translate into the same magnitude of water-yield increases due to slight decreases in snowmelt and increases in evapotranspiration. For these basins, whether modest warming is associated with precipitation decreases or increases, continued rising temperatures may make drier futures. Subsequently, many subbasins are projected to turn from semi-arid to arid conditions by the 2080 s. In conclusion, water availability in the UCRB could

  4. Climate Change Impacts on Streamflow and Subbasin-Scale Hydrology in the Upper Colorado River Basin

    PubMed Central

    Ficklin, Darren L.; Stewart, Iris T.; Maurer, Edwin P.

    2013-01-01

    In the Upper Colorado River Basin (UCRB), the principal source of water in the southwestern U.S., demand exceeds supply in most years, and will likely continue to rise. While General Circulation Models (GCMs) project surface temperature warming by 3.5 to 5.6°C for the area, precipitation projections are variable, with no wetter or drier consensus. We assess the impacts of projected 21st century climatic changes on subbasins in the UCRB using the Soil and Water Assessment Tool, for all hydrologic components (snowmelt, evapotranspiration, surface runoff, subsurface runoff, and streamflow), and for 16 GCMs under the A2 emission scenario. Over the GCM ensemble, our simulations project median Spring streamflow declines of 36% by the end of the 21st century, with increases more likely at higher elevations, and an overall range of −100 to +68%. Additionally, our results indicated Summer streamflow declines with median decreases of 46%, and an overall range of −100 to +22%. Analysis of hydrologic components indicates large spatial and temporal changes throughout the UCRB, with large snowmelt declines and temporal shifts in most hydrologic components. Warmer temperatures increase average annual evapotranspiration by ∼23%, with shifting seasonal soil moisture availability driving these increases in late Winter and early Spring. For the high-elevation water-generating regions, modest precipitation decreases result in an even greater water yield decrease with less available snowmelt. Precipitation increases with modest warming do not translate into the same magnitude of water-yield increases due to slight decreases in snowmelt and increases in evapotranspiration. For these basins, whether modest warming is associated with precipitation decreases or increases, continued rising temperatures may make drier futures. Subsequently, many subbasins are projected to turn from semi-arid to arid conditions by the 2080 s. In conclusion, water availability in the UCRB could

  5. 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,…

  6. 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.

  7. Oil rigs and offshore sport fishing in Louisiana

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Dugas, R.; Guillory, V.; Fischer, M.

    Forty years ago, offshore sport fishing in Louisiana was almost nonexistent. Offshore oil drilling platforms are the primary cause of the present increase in sport fishing in this area. Algae and other organisms forming the first step in the food chain cluster around the subsurface structures of the rigs, attracting fish that seek food and shelter. Major game species frequenting these rigs are identified. (3 photos, 22 references, 2 tables)

  8. Oblique Collision of the Leeward Antilles, Offshore Venezuela: Linking Onshore and Offshore Data from BOLIVAR

    NASA Astrophysics Data System (ADS)

    Beardsley, A. G.; Avé Lallemant, H. G.; Levander, A.; Clark, S. A.

    2006-12-01

    The kinematic history of the Leeward Antilles (offshore Venezuela) can be characterized with the integration of onshore outcrop data and offshore seismic reflection data. Deformation structures and seismic interpretation show that oblique convergence and wrench tectonics have controlled the diachronous deformation identified along the Caribbean - South America plate boundary. Field studies of structural features in outcrop indicate one generation of ductile deformation (D1) structures and three generations of brittle deformation (F1 - F3) structures. The earliest deformation (D1/F1) began ~ 110 Ma with oblique convergence between the Caribbean plate and South American plate. The second generation of deformation (F2) structures initiated in the Eocene with the extensive development of strike-slip fault systems along the diffuse plate boundary and the onset of wrench tectonics within a large-scale releasing bend. The most recent deformation (F3) has been observed in the west since the Miocene where continued dextral strike-slip motion has led to the development of a major restraining bend between the Caribbean plate transform fault and the Oca - San Sebastian - El Pilar fault system. Deformation since the late Cretaceous has been accompanied by a total of 135° clockwise rotation. Interpretation of 2D marine reflection data indicates similar onshore and offshore deformation trends. Seismic lines that approximately parallel the coastline (NW-SE striking) show syndepositional normal faulting during F1/F2 and thrust faulting associated with F3. On seismic lines striking NNE-SSW, we interpret inversion of F2 normal faults with recent F3 deformation. We also observe both normal and thrust faults related to F3. The thick sequence of recent basin sedimentation (Miocene - Recent), interpreted from the seismic data, supports the ongoing uplift and erosion of the islands; as suggested by fluid inclusion analysis. Overall, there appears to be a strong correlation between

  9. Work and health: A comparison between Norwegian onshore and offshore employees.

    PubMed

    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.

  10. 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

  11. Suppressor of sable [Su(s)] and Wdr82 down-regulate RNA from heat-shock-inducible repetitive elements by a mechanism that involves transcription termination

    PubMed Central

    Brewer-Jensen, Paul; Wilson, Carrie B.; Abernethy, John; Mollison, Lonna; Card, Samantha

    2016-01-01

    Although RNA polymerase II (Pol II) productively transcribes very long genes in vivo, transcription through extragenic sequences often terminates in the promoter-proximal region and the nascent RNA is degraded. Mechanisms that induce early termination and RNA degradation are not well understood in multicellular organisms. Here, we present evidence that the suppressor of sable [su(s)] regulatory pathway of Drosophila melanogaster plays a role in this process. We previously showed that Su(s) promotes exosome-mediated degradation of transcripts from endogenous repeated elements at an Hsp70 locus (Hsp70-αβ elements). In this report, we identify Wdr82 as a component of this process and show that it works with Su(s) to inhibit Pol II elongation through Hsp70-αβ elements. Furthermore, we show that the unstable transcripts produced during this process are polyadenylated at heterogeneous sites that lack canonical polyadenylation signals. We define two distinct regions that mediate this regulation. These results indicate that the Su(s) pathway promotes RNA degradation and transcription termination through a novel mechanism. PMID:26577379

  12. Cultural Resources Literature Search and Records Review of the Upper Minnesota River Subbasin, Southwestern Minnesota and Northeastern South Dakota. Volume 1.

    DTIC Science & Technology

    1980-05-01

    CORPS OF ENGERS 1135 U.S. Post Office and Custan House St. Paul, Mirffesota, 55101 Contract No. DACW7-79-C-019 9 LAC #Ift P-l L E ~ &-W N L & - Prepared...By: ARCHAEODLOGICAL FIELD SERVICES, INC. 4?? SOUTTI YAIN STPCET SUIT~ E 4?? 5, STILLWATER MINNESOTA 55082 * .- ~. % ,..VOLE I CULTURAL RESOURCES...County, Minnesota 4. Re&ood County, Minnesota E . Cottonwood River Subbasin 261 1. Brown County, Minnesota 2. Cottorwod County, Minnesota 3. Lyon County

  13. 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.

  14. Carbonate deposition, Pyramid Lake subbasin, Nevada: 1. Sequence of formation and elevational distribution of carbonate deposits (Tufas)

    USGS Publications Warehouse

    Benson, L.

    1994-01-01

    During the late Quarternary, the elevation of terrace cutting and carbonate deposition in the Pyramid Lake subbasin were controlled by constancy of lake level imposed by spill to adjoining subbasins. Sill elevations are 1177-1183 m (Mud Lake Slough Sill), 1207 m (Emerson Pass Sill), and 1265 m (Darwin Pass Sill). Carbonate deposition was favored by: (1) hydrologic closure, (2) proximity to a source of calcium, (3) elevated water temperature, and (4) a solid substrate. The thickness and aspect of tufa are a function oflake-level dynamics. Relatively thin sheets and pendant sheets were deposited during a rising or falling lake. The upper parts of thick reef-form tufas have a horizontal aspect and were deposited in a lake which was stabilized by spill to the Carson Desert subbasin. The lower parts of the reef-form tufas are thinner and their outer surface has a vertical aspect, indicating that the lower part formed in a receding lake. The thickest and most complete sequences of tufa are mounds that border the Pyramid Lake shore. The tops of the tallest mounds reach the elevation of the Darwin Pass Sill and many mounds have been eroded to the elevations of the Mud Lake Slough Sill of the Emerson Pass Sill. The sequence of tufa formation (from oldest to youngest) displayed in these mounds is: (1) a beachrock containing carbonate-cemented volcanic cobbles, (2) broken and eroded old spheroids that contain thinolitic tufa and an outer rind of dense laminated tufa, (3) large cylindrical (tubular) tufas capped by (4) coatings of old dense tufas, and (5) several generations of old branching tufa commonly associated with thin, platy tufas and coatings of thinolitic tufa, (6) young spheroids that contain poorly oriented young thinolitic tufa in the center and several generations of radially oriented young thinolitic tufas near the outer edge, (7) a transitional thinolite-to-branching tufa, (8) two or more layers of young branching tufa, (9) a 0.5-cm-thick layer of fine

  15. 76 FR 78938 - Carpinteria Offshore Field Redevelopment Project-Developmental Drilling Into the Carpinteria...

    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...

  16. 77 FR 70172 - Lifesaving and Fire-Fighting Equipment, Training and Drills Onboard Offshore Facilities and...

    Federal Register 2010, 2011, 2012, 2013, 2014

    2012-11-23

    ... 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...

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

    PubMed

    Piotrowski, Paweł Janusz; Robak, Sylwester; Polewaczyk, Mateusz Maksymilian; Raczkowski, Robert

    2016-01-01

    The current development of electric power industry in Poland, especially in the field of renewable energy sources, including wind power, brings about the need to introduce legislation on new work environment. The development of occupational safety and health (OSH) regulations that must be met by new workplaces, such as offshore substations becomes necessary in view of the construction of modern offshore wind power plants - offshore wind farms. Staying on offshore substation is associated with an increased exposure to harmful health factors: physical, chemical, biological and psychophysical. The main sources of health risks on offshore substations are: temperature, electromagnetic field, noise from operating wind turbines, direct and alternating current, chemicals, Legionella bacteria and social isolation of people. The aim of this article is to draw attention to the problem of offshore substation workers' exposure to harmful factors and to present methods of preventing and reducing the risk-related adverse health effects. In this paper, there are identified and described risks occurring on offshore substations (fire, explosion, lightning, accidents at work). Some examples of the means and the methods for reducing the negative impact of exposure on the human health are presented and discussed. The article also highlights the need to develop appropriate laws and health and safety regulations concerning the new working environment at the offshore substations. The review of researches and international standards shows that some of them can be introduced into the Polish labor market. This work is available in Open Access model and licensed under a CC BY-NC 3.0 PL license.

  18. 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

  19. "It's still a great adventure" - exploring offshore employees' working conditions in a qualitative study.

    PubMed

    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.

  20. 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.

  1. Offshore oil spill response practices and emerging challenges.

    PubMed

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

    2016-09-15

    Offshore oil spills are of tremendous concern due to their potential impact on economic and ecological systems. A number of major oil spills triggered worldwide consciousness of oil spill preparedness and response. Challenges remain in diverse aspects such as oil spill monitoring, analysis, assessment, contingency planning, response, cleanup, and decision support. This article provides a comprehensive review of the current situations and impacts of offshore oil spills, as well as the policies and technologies in offshore oil spill response and countermeasures. Correspondingly, new strategies and a decision support framework are recommended for improving the capacities and effectiveness of oil spill response and countermeasures. In addition, the emerging challenges in cold and harsh environments are reviewed with recommendations due to increasing risk of oil spills in the northern regions from the expansion of the Arctic Passage. Copyright © 2016 Elsevier Ltd. All rights reserved.

  2. 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...

  3. 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...

  4. Simulation of streamflow and water quality in the White Clay Creek subbasin of the Christina River Basin, Pennsylvania and Delaware, 1994-98

    USGS Publications Warehouse

    Senior, Lisa A.; Koerkle, Edward H.

    2003-01-01

    The Christina River Basin drains 565 square miles (mi2) in Pennsylvania, Maryland, and Delaware. Water from the basin is used for recreation, drinking water supply, and to support aquatic life. The Christina River Basin includes the major subbasins of Brandywine Creek, White Clay Creek, and Red Clay Creek. The White Clay Creek is the second largest of the subbasins and drains an area of 108 mi2. Water quality in some parts of the Christina River Basin is impaired and does not support designated uses of the streams. A multi-agency water-quality management strategy included a modeling component to evaluate the effects of point and nonpoint-source contributions of nutrients and suspended sediment on stream water quality. To assist in non point-source evaluation, four independent models, one for each of the three major subbasins and for the Christina River, were developed and calibrated using the model code Hydrological Simulation Program—Fortran (HSPF). Water-quality data for model calibration were collected in each of the four main subbasins and in smaller subbasins predominantly covered by one land use following a nonpoint-source monitoring plan. Under this plan, stormflow and base- flow samples were collected during 1998 at two sites in the White Clay Creek subbasin and at nine sites in the other subbasins.The HSPF model for the White Clay Creek Basin simulates streamflow, suspended sediment, and the nutrients, nitrogen and phosphorus. In addition, the model simulates water temperature, dissolved oxygen, biochemical oxygen demand, and plankton as secondary objectives needed to support the sediment and nutrient simulations. For the model, the basin was subdivided into 17 reaches draining areas that ranged from 1.37 to 13 mi2. Ten different pervious land uses and two impervious land uses were selected for simulation. Land-use areas were determined from 1995 land-use data. The predominant land uses in the White Clay Creek Basin are agricultural, forested

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

    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.

  6. 2014–2015 Offshore Wind Technologies Market Report

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Smith, Aaron; Stehly, Tyler; Musial, Walter

    2015-09-30

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

  7. Offshore survey provides answers to coastal stability and potential offshore extensions of landslides into Abalone Cove, Palos Verdes peninsula, Calif

    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

  8. 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.

  9. Offshore training in navy personnel is associated with uninvestigated dyspepsia.

    PubMed

    Li, Fan; Sun, Gang; Yang, Yun-sheng; Cui, Li-hong; Peng, Li-hua; Guo, Xu; Wang, Wei-feng; Yan, Bin; Zhang, Lanjing

    2014-12-01

    To investigate the known and new factors associated with uninvestigated dyspepsia (UD), we surveyed 8600 Chinese navy personnel with offshore training shorter than 1 month or longer than 9 months per year. All respondents were required to complete a questionnaire covering demographics, the Chinese version of the Rome III survey, eating habits, life styles, and medical and family history. The response rate was 94.3% (8106/8600) with 4899 respondents qualified for analysis, including 1046 with offshore training and 3853 with onshore training. The prevalence of UD was higher in the offshore group than in the onshore group (12.6% vs. 6.9%, P<0.001), with a general prevalence of 8.1%. The subjects with offshore training were more likely to suffer from UD and postprandial distress syndrome (OR=1.955, 95% CI 1.568-2.439, P<0.001 and OR=1.789, 95% CI 1.403-2.303, P<0.001, respectively). The multivariate logistic regression analysis showed UD was associated with offshore training (OR=1.580, 95% CI 1.179-2.118, P=0.002), family history (OR=1.765, 95% CI 1.186-2.626, P=0.005) and smoking (OR=1.270, 95% CI 1.084-1.488, P=0.003), but not with alcohol drinking. The association between dysentery history and UD was undetermined/borderline (P=0.056-0.069). In conclusion, we identified offshore training as a new factor associated with UD, and also confirmed 2 known associated factors, family history and smoking.

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

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Sackinger, W. M.

    1980-08-01

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

  11. 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.

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

    USGS Publications Warehouse

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

    2015-01-01

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

  13. 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...

  14. The offshore benthic fish community

    USGS Publications Warehouse

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

    2014-01-01

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

  15. Connecting onshore and offshore near-surface geology: Delaware's sand inventory project

    USGS Publications Warehouse

    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

  16. 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...

  17. 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...

  18. 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...

  19. 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...

  20. 2014-2015 Offshore Wind Technologies Market Report

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Smith, Aaron; Stehly, Tyler; Musial, Walter

    2015-09-01

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

  1. 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...

  2. Diversity of rare and abundant bacteria in surface waters of the Southern Adriatic Sea.

    PubMed

    Quero, Grazia Marina; Luna, Gian Marco

    2014-10-01

    Bacteria are fundamental players in the functioning of the ocean, yet relatively little is known about the diversity of bacterioplankton assemblages and the factors shaping their spatial distribution. We investigated the diversity and community composition of bacterioplankton in surface waters of the Southern Adriatic sub-basin (SAd) in the Mediterranean Sea, across an environmental gradient from coastal to offshore stations. Bacterioplankton diversity was investigated using a whole-assemblage genetic fingerprinting technique (Automated Ribosomal Intergenic Spacer Analysis, ARISA) coupled with 16S rDNA amplicon pyrosequencing. The main physico-chemical variables showed clear differences between coastal and offshore stations, with the latter displaying generally higher temperature, salinity and oxygen content. Bacterioplankton richness was higher in coastal than offshore waters. Bacterial community composition (BCC) differed significantly between coastal and offshore waters, and appeared to be influenced by temperature (explaining up to 30% of variance) and by the trophic state. Pyrosequencing evidenced dominance of Alphaproteobacteria (SAR11 cluster), uncultured Gammaproteobacteria (Rhodobacteraceae) and Cyanobacteria (Synechococcus). Members of the Bacteroidetes phylum were also abundant, and accounted for 25% in the station characterized by the higher organic carbon availability. Bacterioplankton assemblages included a few dominant taxa and a very large proportion (85%) of rare (<0.1%) bacteria, the vast majority of which was unique to each sampling station. The first detailed census of bacterioplankton taxa in the SAd sub-basin, performed using next generation sequencing, indicates that assemblages are highly heterogeneous, spatially structured according to the environmental conditions, and comprise a large number of rare taxa. The high turnover diversity, particularly evident at the level of the rare taxa, suggests to direct future investigations toward larger

  3. Hydrocarbon potential of Early Cretaceous lacustrine sediments from Bima Formation, Yola Sub-basin, Northern Benue Trough, NE Nigeria: Insight from organic geochemistry and petrology

    NASA Astrophysics Data System (ADS)

    Sarki Yandoka, Babangida M.; Abdullah, Wan Hasiah; Abubakar, M. B.; Adegoke, Adebanji Kayode; Maigari, A. S.; Haruna, A. I.; Yaro, Usman Y.

    2017-05-01

    The Early Cretaceous lacustrine sediments from Bima Formation in the Yola Sub-basin, Northern Benue Trough, northeastern Nigeria were studied based on organic geochemistry and petrology. This is in other to provide information on hydrocarbon generation potential; organic matter type (quality), richness (quantity), origin/source inputs, redox conditions (preservation) and thermal maturation in relation to thermal effect of Tertiary volcanics. The total organic carbon (TOC) contents ranges from 0.38 to 0.86 wt % with extractable organic matter (EOM) below 1000 ppm and pyrolysis S2 yield values from 0.16 to 0.68 mg/g, suggesting poor to fair source rock richness. Based on kerogen pyrolysis and microscopy coupled with biomarker parameters, the organic matters contain Type I (lacustrine algae), Type III (terrestrially derived land-plants) and Type IV kerogens deposited in a mixed lacustrine-terrestrial environment under suboxic to relatively anoxic conditions. This suggest potential occurrence of Early Cretaceous lacustrine sediments (perhaps Lower Cretaceous petroleum system) in Yola Sub-basin of the Northern Benue Trough as present in the neighbouring basins of Chad, Niger and Sudan Republics that have both oil and gas generation potential within the same rift trend (WCARS). Vitrinite reflectance (%Ro) and Tmax values of the lacustrine shales ranges from 1.12 to 2.32 VRo% and 448-501 °C, respectively, indicating peak-late to post-maturity stage. This is supported by the presence of dark brown palynomorphs, amorphous organic matter and phytoclasts as well as inertinite macerals. Consequently, the organic matters in the lacustrine shales of Bima Formation in the Yola Sub-basin appeared as a source of oil (most likely even waxy) and gas prone at a relatively deeper part of the basin. However, the high thermal maturity enhanced the organic matters and most of the hydrocarbons that formed in the course of thermal maturation were likely expelled to the reservoir rock units

  4. 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...

  5. 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

  6. 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...

  7. New Norwegian HSE standard for the offshore industry

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Huse, J.R.

    1996-12-31

    NORSOK (The competitive standing of the Norwegian offshore sector) is the Norwegian industry initiative to add value, reduce cost and lead time and remove unnecessary activities in offshore field developments and operations. The NORSOK standards are developed by the Norwegian petroleum industry as a part of the NORSOK initiative and are jointly issued by the Norwegian Oil Industry Association and the Federation of Norwegian Engineering Industries. The purpose of the industry standard is to replace the individual oil company specifications for use in existing and future petroleum industry developments, subject to the individual company`s review and application. The NORSOK Health,more » Safety and Environment (HSE) standards covers: Technical Safety, Working Environment, Environmental Care, HSE during Construction. The standards are now being used in ongoing offshore development projects, and the experience with standards shows that the principle aim is being met. The development of standards continues, implementing experience gained.« less

  8. Comparison of 1972 and 1996 water levels in the Goleta central ground-water subbasin, Santa Barbara County, California

    USGS Publications Warehouse

    Kaehler, Charles A.; Pratt, David A.; Paybins, Katherine S.

    1997-01-01

    Ground-water levels for 1996 were compared with 1972 water levels to determine if a "drought buffer" currently exists. The drought buffer was defined previously, in a litigated settlement involving the Goleta Water District, as the 1972 water level in the Central ground-water subbasin. To make this deter mination, a network of 15 well sites was selected, water levels were measured monthly from April through December 1996, and the 1996 water-level data were compared with1972 data. The study was done in cooperation with the Goleta Water District. The 1972-1996 water-level-altitude changes for corresponding months of the comparison years were averaged for each network well. These averaged changes ranged from a rise of 9.4 ft for well 2N2 to a decline of 45.0 ft for well 8K8. The results of the comparison indicate a rise in water level at 1 site (well 2N2) and a decline at 14 sites. The mean of the 14 negative average values was a decline of 24.0 ft. The altitude of the bottom of well 2N2 was higher than the bottom altitudes at the other network sites, and this well is located a few feet from a fault that acts as a hydrologic barrier. The results of the water-level comparison for the Central subbasin were influenced to some unknown degree by the areal distribution of the set of wells selected for the network and the vertical dis tribution of the perforated intervals of the wells. For this reason, the mean water-level change--a decline of 21.8 ft--calculated from the averages of the month-to-month changes for the 15 network sites, should be used with caution. In addition, the number of usable individual monthly comparison measurements available for an individual site ranged from one to nine, and averaged six. Therefore, a weighted mean of the monthly averages was calculated on the basis of the number of comparison measurements available for each site. The weighted mean is a decline of 20.9 ft. All Central subbasin wells that were idle (that is, were not being pumped

  9. 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

  10. Offshore wind development research (technical brief).

    DOT National Transportation Integrated Search

    2014-04-01

    The study addresses all aspects of Offshore Wind (OSW) development. This includes identifying : vessel types, vessel installation methods, needs and operating characteristics through all phases : of OSW installation, construction, operations and main...

  11. 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.

  12. Pioneering offshore excellence

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Kent, R.P.; Grattan, L.

    1996-11-01

    Hibernia Management and Development Company Ltd. (HMDC) was formed in 1990 by a consortium of oil companies to develop their interests in the Hibernia and Avalon reservoirs offshore Newfoundland in a safe and environmentally responsible manner. The reservoirs are located 315km ESE of St. John`s in the North Atlantic. The water depth is about 80m. The entire Hibernia field is estimated to contain more than three billion barrels of oil in place and the owners development plan area is estimated to contain two billion barrels. Recoverable reserves are estimated to be approximately 615 million barrels. The Hibernia reservoir, the principlemore » reservoir, is located at an average depth of 3,700m. HMDC is building a large concrete gravity based structure (GBS) that which will support the platform drilling and processing facilities and living quarters for 280 personnel. In 1997 the platform will be towed to the production site and production will commence late 1997. Oil will be exported by a 2 km long pipeline to an offshore loading system. Dynamically positioned tankers will then take the oil to market. Average daily production is expected to plateau between 125,000 and 135,000 BOPD. It will be the first major development on the east coast of Canada and is located in an area that is prone to pack ice and icebergs.« less

  13. 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...

  14. 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...

  15. 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...

  16. 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.

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

    Treesearch

    C. John Ralph; Sherri L. Miller

    1995-01-01

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

  18. Quantifying the Benefits of Combining Offshore Wind and Wave Energy

    NASA Astrophysics Data System (ADS)

    Stoutenburg, E.; Jacobson, M. Z.

    2009-12-01

    For many locations the offshore wind resource and the wave energy resource are collocated, which suggests a natural synergy if both technologies are combined into one offshore marine renewable energy plant. Initial meteorological assessments of the western coast of the United States suggest only a weak correlation in power levels of wind and wave energy at any given hour associated with the large ocean basin wave dynamics and storm systems of the North Pacific. This finding indicates that combining the two power sources could reduce the variability in electric power output from a combined wind and wave offshore plant. A combined plant is modeled with offshore wind turbines and Pelamis wave energy converters with wind and wave data from meteorological buoys operated by the US National Buoy Data Center off the coast of California, Oregon, and Washington. This study will present results of quantifying the benefits of combining wind and wave energy for the electrical power system to facilitate increased renewable energy penetration to support reductions in greenhouse gas emissions, and air and water pollution associated with conventional fossil fuel power plants.

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

    DOE Office of Scientific and Technical Information (OSTI.GOV)

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

    1989-11-01

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

  20. [Medical Emergency Preparedness in offshore wind farms : New challenges in the german north and baltic seas].

    PubMed

    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.

  1. 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...

  2. 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...

  3. 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...

  4. 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...

  5. Chronology of the Early Toarcian environmental crisis in the Lorraine Sub-Basin (NE Paris Basin)

    NASA Astrophysics Data System (ADS)

    Ruebsam, Wolfgang; Münzberger, Petra; Schwark, Lorenz

    2014-10-01

    Early Toarcian (Jurassic; ∼183 Ma) sediments recorded profound environmental changes, including mass extinction, global warming, marine transgression as well as widespread bottom water anoxia and organic matter accumulation on the Western Tethyan shelf. Enhanced organic matter accumulation was accompanied by a positive carbon isotope excursion (CIE) in pelagic carbonate, which marks the Toarcian Oceanic Anoxic Event. These environmental changes were accompanied by a major perturbation of the global carbon cycle, expressed by negative CIE, interrupting the positive trend. The duration of the carbon cycle perturbation is still debated, with estimates for the negative CIE range from ∼200 to ∼600 kyr. Here we present ultra high-resolution (<1 kyr) measurements of magnetic susceptibility and sediment color from a marine section located in the Lorraine Sub-Basin (NE Paris Basin) documenting Milankovitch-controlled fluctuations in depositional conditions that occurred superimposed onto the overall sea level evolution. Differences in the wavelength of the sedimentary cycles indicate variable sediment accumulation rates that mainly resulted from rapid sea level fluctuations. The most pronounced sea level rise that took place within the uppermost tenuicostatum zone resulted in a strong condensation of the basal Schistes Carton formation. Strong condensation can explain the discrepancy between durations previously calculated for the CIE placed at this stratigraphic interval. Our data support durations of ∼900 kyr and ∼600 kyr for the positive and negative CIE, respectively. The cyclostratigraphy-based timescale further proposes a duration of >555 kyr for the tenuicostatum zone and 1310 kyr for the serpentinum zone. The durations of the elegantulum and falciferum subzones can be estimated to ∼790 kyr and ∼520 kyr, respectively. A change in the orbital response from eccentricity- to obliquity-forcing, evident from other locations, is well-expressed in the Lorraine

  6. Building the U.S. First Offshore Wind Farm-Applying EBM Approaches to Successfully Address Offshore Energy, Commercial Fisheries, and Recreational Boating interactions

    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.

  7. Building the U.S. First Offshore Wind Farm-Applying EBM Approaches to Successfully Address Offshore Energy, Commercial Fisheries, and Recreational Boating interactions

    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.

  8. Fatal injuries in offshore oil and gas operations - United States, 2003-2010.

    PubMed

    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.

  9. Evidence of offshore lake trout reproduction in Lake Huron

    USGS Publications Warehouse

    DeSorcie, Timothy J.; Bowen, Charles A.

    2003-01-01

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

  10. 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...

  11. 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...

  12. Sedimentology and Reservoir Characteristics of Early Cretaceous Fluvio-Deltaic and Lacustrine Deposits, Upper Abu Gabra Formation, Sufyan Sub-basin, Muglad Rift Basin, Sudan

    NASA Astrophysics Data System (ADS)

    Yassin, Mohamed; Abdullatif, Osman; Hariri, Mustafa

    2017-04-01

    Sufyan Sub-basin is an East-West trending Sub-basin located in the northwestern part of the Muglad Basin (Sudan), in the eastern extension of the West and Central Africa Rift System (WCARS). The Early Cretaceous Abu Gabra Formation considered as the main source rock in the Muglad Basin. In Sufyan Sub-basin the Early Cretaceous Upper Abu Gabra Formation is the main oil-producing reservoir. It is dominated by sandstone and shales deposited in fluvio-deltaic and lacustrine environment during the first rift cycle in the basin. Depositional and post-depositional processes highly influenced the reservoir quality and architecture. This study investigates different scales of reservoir heterogeneities from macro to micro scale. Subsurface facies analysis was analyzed based on the description of six conventional cores from two wells. Approaches include well log analysis, thin sections and scanning electron microscope (SEM) investigations, grain-size, and X-ray diffraction (XRD) analysis of the Abu Gabra sandstone. The cores and well logs analyses revealed six lithofacies representing fluvio-deltaic and lacustrine depositional environment. The sandstone is medium to coarse-grained, poorly to moderately sorted and sub-angular to subrounded, Sub-feldspathic arenite to quartz arenite. On macro-scale, reservoir quality varies within Abu Gabra reservoir where it shows progressive coarsening upward tendencies with different degrees of connectivity. The upper part of the reservoir showed well connected and amalgamated sandstone bodies, the middle to lower parts, however, have moderate to low sandstone bodies' connectivity and amalgamation. On micro-scale, sandstone reservoir quality is directly affected by textures and diagenesis.The XRD and SEM analyses show that kaolinite and chlorite clay are the common clay minerals in the studied samples. Clay matrix and quartz overgrowth have significantly reduced the reservoir porosity and permeability, while the dissolution of feldspars

  13. White Shark Offshore Habitat: A Behavioral and Environmental Characterization of the Eastern Pacific Shared Offshore Foraging Area

    PubMed Central

    Nasby-Lucas, Nicole; Dewar, Heidi; Lam, Chi H.; Goldman, Kenneth J.; Domeier, Michael L.

    2009-01-01

    Background Although much is known about the behavior of white sharks in coastal regions, very little is known about their vertical movements offshore in the eastern Pacific where they spend up to five months. We provide the first detailed description of the offshore habitat use of white sharks in the eastern North Pacific. Methodology/Principal Findings This study uses 2-min data from four recovered pop-up satellite archival tags deployed at Guadalupe Island (2002 and 2005). Deployments ranged from 5.4 to 8.2 months. Two predominant vertical patterns were described. The first was a bimodal vertical pattern with time spent at the surface and at depth, which was observed while traveling. The second was a repetitive oscillatory diving mode displayed by sharks in the Shared Offshore Foraging Area (SOFA). For all four datasets the average maximum daily dive depths ranged from 442.5 to 492.8 m and were typically associated with dissolved oxygen concentrations of above 1.7 ml L−1. Although infrequent, occasional dives to near 1000 m with a minimum temperature of 3.9°C and a minimum O2 level of 0.3 ml L−1 were observed. Conclusions/Significance Recovered pop-up satellite tags from Guadalupe Island white sharks advance our understanding of the vertical habitat use of white sharks while offshore. The bimodal vertical pattern during traveling is most likely related to geolocation. The oscillatory dive pattern is likely associated with foraging. While feeding is not documented, foraging is likely occurring in association with the deep scattering layer. Diving depths were not limited by temperature but were constrained by O2 levels below approximately 1.5 ml L−1. While oxygen may limit the extent of sharks' vertical movements, it will also impact prey distribution. Consequently, the shallow oxygen minimum zone in the SOFA may act to concentrate prey, thus enhancing foraging opportunities in these oligotrophic waters. PMID:20011032

  14. 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.

  15. 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.

  16. 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...

  17. 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...

  18. 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...

  19. 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...

  20. 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...

  1. Effects of an Offshore Wind Farm (OWF) on the Common Shore Crab Carcinus maenas: Tagging Pilot Experiments in the Lillgrund Offshore Wind Farm (Sweden).

    PubMed

    Langhamer, Olivia; Holand, Håkon; Rosenqvist, Gunilla

    2016-01-01

    Worldwide growth of offshore renewable energy production will provide marine organisms with new hard substrate for colonization in terms of artificial reefs. The artificial reef effect is important when planning offshore installations since it can create habitat enhancement. Wind power is the most advanced technology within offshore renewable energy sources and there is an urgent need to study its impacts on the marine environment. To test the hypothesis that offshore wind power increases the abundance of reef species relative to a reference area, we conduct an experiment on the model species common shore crab (Carcinus maenas).Overall, 3962 crabs were captured, observed, marked and released in 2011 and 1995 crabs in 2012. Additionally, carapace size, sex distribution, color morphs and body condition was recorded from captured crabs. We observed very low recapture rates at all sites during both years which made evaluating differences in population sizes very difficult. However, we were able to estimate population densities from the capture record for all three sites. There was no obvious artificial reef effect in the Lillgrund wind farm, but a spill-over effect to nearby habitats cannot be excluded. We could not find any effect of the wind farm on either, morphs, sex distribution or condition of the common shore crab. Our study found no evidence that Lillgrund wind farm has a negative effect on populations of the common shore crab. This study provides the first quantitative and experimental data on the common shore crab in relation to offshore wind farms.

  2. Effects of an Offshore Wind Farm (OWF) on the Common Shore Crab Carcinus maenas: Tagging Pilot Experiments in the Lillgrund Offshore Wind Farm (Sweden)

    PubMed Central

    Langhamer, Olivia; Holand, Håkon; Rosenqvist, Gunilla

    2016-01-01

    Worldwide growth of offshore renewable energy production will provide marine organisms with new hard substrate for colonization in terms of artificial reefs. The artificial reef effect is important when planning offshore installations since it can create habitat enhancement. Wind power is the most advanced technology within offshore renewable energy sources and there is an urgent need to study its impacts on the marine environment. To test the hypothesis that offshore wind power increases the abundance of reef species relative to a reference area, we conduct an experiment on the model species common shore crab (Carcinus maenas).Overall, 3962 crabs were captured, observed, marked and released in 2011 and 1995 crabs in 2012. Additionally, carapace size, sex distribution, color morphs and body condition was recorded from captured crabs. We observed very low recapture rates at all sites during both years which made evaluating differences in population sizes very difficult. However, we were able to estimate population densities from the capture record for all three sites. There was no obvious artificial reef effect in the Lillgrund wind farm, but a spill-over effect to nearby habitats cannot be excluded. We could not find any effect of the wind farm on either, morphs, sex distribution or condition of the common shore crab. Our study found no evidence that Lillgrund wind farm has a negative effect on populations of the common shore crab. This study provides the first quantitative and experimental data on the common shore crab in relation to offshore wind farms. PMID:27780212

  3. 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.

  4. 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...

  5. 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...

  6. 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...

  7. 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...

  8. 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...

  9. Comparison with Offshore and Onshore Mud Volcanoes in the Southwestern Taiwan

    NASA Astrophysics Data System (ADS)

    Chen, Y. H.; Su, C. C.; Chen, T. T.; Liu, C. S.; Paull, C. K.; Caress, D. W.; Gwiazda, R.; Lundsten, E. M.; Hsu, H. H.

    2017-12-01

    The offshore area southwest (SW) of Taiwan is on the convergent boundary between the Eurasian and Philippine Sea plates. The plate convergence manifests in this unique geological setting as a fold-and-thrust-belt. Multi-channel seismic profiles, and bathymetry and gravity anomaly data collected from Taiwan offshore to the SW show the presence of a large amount of mud volcanoes and diapirs with NE-SW orientations. In the absence of comprehensive sampling and detailed geochemistry data from submarine mud volcanoes, the relation between onshore and offshore mud volcanoes remains ambiguous. During two MBARI and IONTU joint cruises conducted in 2017 we collected high-resolution multibeam bathymetry data (1-m-resolution) and chirp sub-bottom profiles with an autonomous underwater vehicle (AUV) from submarine Mud Volcano III (MV3), and obtained precisely located samples and video observations with a remotely operated vehicle (ROV). MV3 is an active submarine mud volcano at 465 m water depth offshore SW Taiwan. This cone-shape mud volcano is almost 780 m wide, 150 m high, with 8° slopes, and a 30 m wide mound on the top. Several linear features are observed in the southwest of the mound, and these features are interpreted as a series of marks caused by rolling rocks that erupted from the top of MV3. We collected three rocks and push cores from MV3 and its top with the ROV, in order to compare their chemical and mineralogical composition to that of samples collected from mud volcanoes along the Chishan fault. The surface and X-radiography imaging, 210Pb chronology, grain size and X-ray diffractometer analyses were conducted to compare geochemical and sedimentary properties of offshore and onshore mud volcanoes. The results indicate that the offshore and onshore mud volcanoes have similar characteristics. We suggest that offshore and onshore mud volcanoes of SW Taiwan are no different in the source of their materials and their mechanism of creation and evolution.

  10. 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.

  11. Quantifying the Hurricane Risk to Offshore Wind Power (Invited)

    NASA Astrophysics Data System (ADS)

    Apt, J.; Rose, S.; Jaramillo, P.; Small, M.

    2013-12-01

    The U.S. Department of Energy has estimated that over 50 GW of offshore wind power will be required for the United States to generate 20% of its electricity from wind. Developers are actively planning offshore wind farms along the U.S. Atlantic and Gulf coasts and several leases have been signed for offshore sites. These planned projects are in areas that are sometimes struck by hurricanes. Whether that risk will grow as a result of climate change is uncertain. Recent years have seen an increase in hurricane activity in the Atlantic basin (1) and, all else being equal, warmer sea surface temperatures can be expected to lead to increased storm intensity. We have developed a method to estimate the catastrophe risk to offshore wind power using simulated hurricanes (2). In Texas, the most vulnerable region we studied, 10% of offshore wind power could be offline simultaneously due to hurricane damage with a 100-year return period and 6% could be destroyed in any 10-year period. Much of the hurricane risk to offshore wind turbines can be mitigated by designing turbines for higher maximum wind speeds, ensuring that turbine nacelles can turn quickly to track the wind direction even when grid power is lost, and building in areas with lower risk. 1. Iris Grossmann and M. Granger Morgan, "Tropical Cyclones, Climate Change, and Scientific Uncertainty: What do we know, what does it mean, and what should be done?," Climatic Change, 108, pp 543-579, 2011. 2. Carnegie Mellon Electricity Industry Center Working Paper CEIC-13-07, http://wpweb2.tepper.cmu.edu/electricity/papers/ceic-13-07.asp This work was supported in part by the EPA STAR fellowship program, a grant from the Alfred P. Sloan Foundation and EPRI to the Carnegie Mellon Electricity Industry Center, and by the Doris Duke Charitable Foundation, the R.K. Mellon Foundation and the Heinz Endowments for support of the RenewElec program at Carnegie Mellon University. This research was also supported in part by the Climate and

  12. The offshore petroleum industry: The formative years, 1945-1962

    NASA Astrophysics Data System (ADS)

    Kreidler, Tai Deckner

    1997-12-01

    This dissertation is the first to examine the offshore oil industry that was born in the calm waters of the Gulf of Mexico. It describes the industry's origins and tracks its development as a consequence of a search for new oil frontiers. In addition, it elaborates how the oil industry moved into the marine province using available technology, and was driven by the economic urgency to compete and develop new territories. Enterprising drilling contractors and operators seized the offshore gamble, finding it possible to lower the economic and technological threshold by drawing directly from wartime research and surplus equipment. Though large oil companies had placed its indelible stamp upon the industry, the smaller, independent oil operators set the pace of early offshore development. As a technological frontier, offshore development depended upon creative and unconventional engineering. Unfamiliar marine conditions tested the imagination of oil industry engineering. The unorthodox methods of John Hayward of Barnsdall Oil and R. G. LeTourneau of LeTourneau, Inc. among others transformed the industry by blending petroleum and marine engineering. Grappling with alien marine conditions and lacking formal training, Hayward and LeTourneau merged a century of practical oil field knowledge and petroleum engineering with 2,000 years of shipbuilding experience. The Gulf of Mexico served as a fertile and protective environment for the development of a fledgling industry. With calm waters, lacking the tempestuous and stormy character of the Atlantic Ocean, with a gradual sea-floor slope and saturated with the highly productive salt dome reservoirs, the Gulf became the birth place of the modern offshore oil industry. Within its protective sphere, companies experimented and developed various technical and business adaptations. Operators used technology and business strategies that increased the opportunity for success. In addition, regional academic research institutes arose as

  13. Twelve years in offshore for Doris C. G

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Not Available

    1979-04-12

    The offshore engineering operations of Doris have included the design of concrete and steel offshore structures, the design and construction of diving and underwater equipment, offshore equipment, vessels, and heavy mooring systems, and the design and installation of pipelines and risers. The company has also engaged in pipelaying, marine operations, diving, and inspection and maintenance work. Some achievements in 1978 were the completion, tow-out, and installation of the Ninian central platform and the design of an additional riser for the Frigg field manifold compression platform to connect the Piper field to the Frigg gas pipeline. The articulated gravity tower formore » concrete platforms was certified by Norsk Veritas in 1978, but fatigue tests on the articulating ball joint are continuing. New designs include the fixed gravity structure with removable floats, which makes the substructure much smaller, so that concrete platforms become economically feasible in water depths previously considered prohibitive, and the steel-and-concrete hybrid platform, which has been fully developed and certified as safe and economical.« less

  14. Sleep patterns of offshore day-workers in relation to overtime work and age.

    PubMed

    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.

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

    USGS Publications Warehouse

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

    2011-01-01

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

  16. 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...

  17. 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...

  18. 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...

  19. 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...

  20. Louisiana offshore terminal authority environmental monitoring

    DOT National Transportation Integrated Search

    2002-09-01

    The current Louisiana Offshore Oil Port (LOOP) monitoring program includes seasonal monitoring of aquatic and marine resources, sediment composition, and water quality on a five-year cycle. These data provide an update to the existing long-term LOOP ...

  1. Onshore–offshore gradient in metacommunity turnover emerges only over macroevolutionary time-scales

    PubMed Central

    Tomašových, Adam; Dominici, Stefano; Zuschin, Martin; Merle, Didier

    2014-01-01

    Invertebrate lineages tend to originate and become extinct at a higher rate in onshore than in offshore habitats over long temporal durations (more than 10 Myr), but it remains unclear whether this pattern scales down to durations of stages (less than 5 Myr) or even sequences (less than 0.5 Myr). We assess whether onshore–offshore gradients in long-term turnover between the tropical Eocene and the warm-temperate Plio-Pleistocene can be extrapolated from gradients in short-term turnover, using abundances of molluscan species from bulk samples in the northeast Atlantic Province. We find that temporal turnover of metacommunities does not significantly decline with depth over short durations (less than 5 Myr), but significantly declines with depth between the Eocene and Plio-Pleistocene (approx. 50 Myr). This decline is determined by a higher onshore extinction of Eocene genera and families, by a higher onshore variability in abundances of genera and families, and by an onshore expansion of genera and families that were frequent offshore in the Eocene. Onshore–offshore decline in turnover thus emerges only over long temporal durations. We suggest that this emergence is triggered by abrupt and spatially extensive climatic or oceanographic perturbations that occurred between the Eocene and Plio-Pleistocene. Plio-Pleistocene metacommunities show a high proportion of bathymetric generalists, in contrast to Eocene metacommunities. Accordingly, the net cooling and weaker thermal gradients may have allowed offshore specialists to expand into onshore habitats and maintain their presence in offshore habitats. PMID:25297863

  2. Major deepwater pipelay vessel starts work in North Sea

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Heerema, E.P.

    1998-05-04

    Industry`s deepwater pipelaying capability has received a boost this year with the entry into the world`s fleet of Solitaire, a dynamically positioned pipelay vessel of about 350 m including stinger. The converted bulk carrier, formerly the Trentwood, will arrive on station in the North Sea and begin laying pipe this month on Statoil`s Europipe II project, a 600-km, 42-in. OD gas pipeline from Norway to Germany. Next year, the vessel will install pipe for the Exxon U.S.A.`s Gulf of Mexico South Diana development (East Breaks Block 945) in a water depth of 1,643 m and for Mobil Oil Canada asmore » part of the Sable Island Offshore and Energy Project offshore Nova Scotia. Using the S-lay mode, Solitaire is particularly well-suited for laying large lines economically, including the deepwater projects anticipated for the US Gulf of Mexico. Table 1 presents Solitaire`s technical specifications. The design, construction, pipelaying, and justification for building vessels such as the Solitaire are discussed.« less

  3. Offshore Extension of Deccan Traps in Kachchh, Central Western India: Implications for Geological Sequestration Studies

    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

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

    NASA Astrophysics Data System (ADS)

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

    2010-09-01

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

  5. Examining courses of sleep quality and sleepiness in full 2 weeks on/2 weeks off offshore day shift rotations.

    PubMed

    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.

  6. 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...

  7. Civil engineering in the Arctic offshore

    DOE Office of Scientific and Technical Information (OSTI.GOV)

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

    1985-01-01

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

  8. Acquisition Regulations and Offshore Software Development: Implications for Cybersecurity of DOD Networks

    DTIC Science & Technology

    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

  9. Effects of Land-use/Land-cover and Climate Changes on Water Quantity and Quality in Sub-basins near Major US Cities in the Great Lakes Region

    NASA Astrophysics Data System (ADS)

    Murphy, L.; Al-Hamdan, M. Z.; Crosson, W. L.; Barik, M.

    2017-12-01

    Land-cover change over time to urbanized, less permeable surfaces, leads to reduced water infiltration at the location of water input while simultaneously transporting sediments, nutrients and contaminants farther downstream. With an abundance of agricultural fields bordering the greater urban areas of Milwaukee, Detroit, and Chicago, water and nutrient transport is vital to the farming industry, wetlands, and communities that rely on water availability. Two USGS stream gages each located within a sub-basin near each of these Great Lakes Region cities were examined, one with primarily urban land-cover between 1992 and 2011, and one with primarily agriculture land-cover. ArcSWAT, a watershed model and soil and water assessment tool used in extension with ArcGIS, was used to develop hydrologic models that vary the land-covers to simulate surface runoff during a model run period from 2004 to 2008. Model inputs that include a digital elevation model (DEM), Landsat-derived land-use/land-cover (LULC) satellite images from 1992, 2001, and 2011, soil classification, and meteorological data were used to determine the effect of different land-covers on the water runoff, nutrients and sediments. The models were then calibrated and validated to USGS stream gage data measurements over time. Additionally, the watershed model was run based on meteorological data from an IPCC CMIP5 high emissions climate change scenario for 2050. Model outputs from the different LCLU scenarios were statistically evaluated and results showed that water runoff, nutrients and sediments were impacted by LULC change in four out of the six sub-basins. In the 2050 climate scenario, only one out of the six sub-basin's water quantity and quality was affected. These results contribute to the importance of developing hydrologic models as the dependence on the Great Lakes as a freshwater resource competes with the expansion of urbanization leading to the movement of runoff, nutrients, and sediments off the

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

    NASA Astrophysics Data System (ADS)

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

    2014-09-01

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

  11. Proposing a Formalised Model for Mindful Information Systems Offshoring

    NASA Astrophysics Data System (ADS)

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

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

  12. Offshore marine constructions as propagators of moon jellyfish dispersal

    NASA Astrophysics Data System (ADS)

    Vodopivec, Martin; Peliz, Álvaro J.; Malej, Alenka

    2017-08-01

    We have studied the influence of offshore marine constructions on the moon jellyfish population in the Adriatic sea, where the newly set up substrates enable the formation of a new population based in the formerly unpopulated open waters. Our five-year long computer simulation uses a high resolution coupled bio-physical individual-based model to track the dispersal of the offspring from subpopulations originating from offshore and shore-based sources. According to our study, the platforms enhance connectivity between subpopulations of jellyfish polyps, help sustain existing shore-based subpopulations, contribute to jellyfish blooms in some areas, and play an important role in establishing connection with the rest of the Mediterranean, in addition to representing substantial amounts of available substrate. This is an aspect that is usually overlooked when evaluating the ecological impact of existing and future wind farms, oil and gas platforms, etc. Our approach could serve as a role model in future studies of ecological impacts of planned offshore constructions.

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

    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.

  14. Determing Lamprey Species Composition, Larval Distribution, and Adult Abundance in the Deschutes River, Oregon, Subbasin; 2005-2006 Annual Report.

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Graham, Jennifer C.; Brun, Christopher V.

    2006-05-01

    Information about lamprey species composition, distribution, life history, abundance, habitat requirements, and exploitation in the lower Deschutes River Subbasin is extremely limited. During 2002, we began a multi-year study to assess the status of lamprey in the Deschutes River subbasin. The objectives of this project are to determine ammocoete (larval lamprey) distribution and associated habitats; Lampretra species composition; numbers of emigrants; adult escapement and harvest rates at Sherars Falls. This report describes the preliminary results of data collected during 2005. We continued documenting ammocoete (larval) habitat selection by surveying four perennial eastside tributaries to the Deschutes River (Warm Springs River,more » Badger, Beaver and Shitike creeks) within the known ammocoete distribution. The results of 2003-2005 sampling indicate that positive relationships exist between: presence of wood (P = < 0.001), depositional area (P = < 0.001), flow (P = < 0.001), and fine substrate (P = < 0.001). Out-migrants numbers were not estimated during 2005 due to our inability to recapture marked larvae. In Shitike Creek, ammocoete and microphthalmia out-migration peaked during November 2005. In the Warm Spring River, out-migration peaked for ammocoetes in April 2006 and December 2005 for microphthalmia. Samples of ammocoetes from each stream were retained in a permanent collection of future analysis. An escapement estimate was generated for adult Pacific lamprey in the lower Deschutes River using a two event mark-recapture experiment during run year 2005. A modified Peterson model was used to estimate the adult population of Pacific lamprey at 3,895 with an estimated escapement of 2,881 during 2005 (95% CI= 2,847; M = 143; C = 1,027 R = 37). A tribal creel was also conducted from mid-June through August. We estimated tribal harvest to be approximately 1,015 adult lamprey during 2005 (95% CI= +/- 74).« less

  15. Offshore Wind Research | Wind | NREL

    Science.gov Websites

    validation and certification. A photo of an offshore wind turbine with a yellow foundation floating in the wind turbine with three turbines and blue ocean in the background. Design Methods, Tools, and Standards Applying 35 years of wind turbine validation expertise, NREL has developed instrumentation for high

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

    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.

  17. Inertial Response of an Offshore Wind Power Plant with HVDC-VSC

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Preciado, V.; Gevorgian, Vahan; Muljadi, Eduard

    This paper analyzes the inertial response of an offshore wind power plant (WPP) to provide ancillary services to the power system grid. The WPP is connected to a high-voltage direct-current voltage source converter HVDC-VSC to deliver the power to the onshore substation. The wind turbine generator (WTG) used is a doubly-fed induction generator (Type 3 WTG). In this paper we analyze a control method for the WTGs in an offshore WPP to support the grid and contribute ancillary services to the power system network. Detailed time domain simulations will be conducted to show the transient behavior of the inertial responsemore » of an offshore WPP.« less

  18. Transmission system protection screening for integration of offshore wind power plants

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Sajadi, A.; Strezoski, L.; Clark, K.

    This paper develops an efficient methodology for protection screening of large-scale transmission systems as part of the planning studies for the integration of offshore wind power plants into the power grid. This methodology avails to determine whether any upgrades are required to the protection system. The uncertainty is considered in form of variability of the power generation by offshore wind power plant. This paper uses the integration of a 1000 MW offshore wind power plant operating in Lake Erie into the FirstEnergy/PJM service territory as a case study. This study uses a realistic model of a 63,000-bus test system thatmore » represents the U.S. Eastern Interconnection.« less

  19. Transmission system protection screening for integration of offshore wind power plants

    DOE PAGES

    Sajadi, A.; Strezoski, L.; Clark, K.; ...

    2018-02-21

    This paper develops an efficient methodology for protection screening of large-scale transmission systems as part of the planning studies for the integration of offshore wind power plants into the power grid. This methodology avails to determine whether any upgrades are required to the protection system. The uncertainty is considered in form of variability of the power generation by offshore wind power plant. This paper uses the integration of a 1000 MW offshore wind power plant operating in Lake Erie into the FirstEnergy/PJM service territory as a case study. This study uses a realistic model of a 63,000-bus test system thatmore » represents the U.S. Eastern Interconnection.« less

  20. Seismic-reflection studies, offshore Santa Maria Province, California

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Bird, K.J.; Childs, J.R.; Taylor, D.J.

    1991-02-01

    Well data and seismic-reflection records are being analyzed to provide a subsurface geologic framework for the US Geological Survey's Santa Maria Province project. This project, jointly sponsored by the Evolution of Sedimentary Basins and Onshore Oil and Gas Investigations Programs, in a basin-evolution and petroleum geology study focusing on the geologically complex and tectonically active south-central California margin. The area embraces several basins and basin fragments including the onshore Santa Maria, offshore Santa Maria, Pismo, Huasna, Sur, Santa Lucia, and western Santa Barbara-Ventura. These basins have many similarities, including generally synchronous formation at about the end of the Oligocene, developmentmore » on a complex assemblage of Mesozoic tectonostratigraphic terranes, and basin fill consisting of Neogene clastic marine and nonmarine deposits, minor volcanic rocks, and organic-rich biogenous deposits of the Monterey Formation. Despite these similarities, basin origins are controversial and paleogeographies uncertain. In 1990, the US Geological Survey collected approximately 130 line-mi of multichannel seismic reflection data in seven profiles off-shore California from Morro Bay south to the western Santa Barbara Channel. These are the first US Geological Survey seismic data collected in this area since the early 1980s exploratory drilling began in the offshore Santa Maria basin. Profiles were generally oriented perpendicular to structural grain and located to intersect as many well-sites and pre-existing seismic profiles as possible. Profile orientation and spacing were designed to provide the offshore extensions of onshore well-correlation profiles currently under construction. With synthetic seismograms the authors are integrating the stratigraphy of the wells with these seismic-reflection records.« less

  1. Persistent differences between coastal and offshore kelp forest communities in a warming Gulf of Maine

    PubMed Central

    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

  2. Persistent differences between coastal and offshore kelp forest communities in a warming Gulf of Maine.

    PubMed

    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

  3. 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)).

  4. 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.

  5. What can wave energy learn from offshore oil and gas?

    PubMed

    Jefferys, E R

    2012-01-28

    This title may appear rather presumptuous in the light of the progress made by the leading wave energy devices. However, there may still be some useful lessons to be learnt from current 'offshore' practice, and there are certainly some awful warnings from the past. Wave energy devices and the marine structures used in oil and gas exploration as well as production share a common environment and both are subject to wave, wind and current loads, which may be evaluated with well-validated, albeit imperfect, tools. Both types of structure can be designed, analysed and fabricated using similar tools and technologies. They fulfil very different missions and are subject to different economic and performance requirements; hence 'offshore' design tools must be used appropriately in wave energy project and system design, and 'offshore' cost data should be adapted for 'wave' applications. This article reviews the similarities and differences between the fields and highlights the differing economic environments; offshore structures are typically a small to moderate component of field development cost, while wave power devices will dominate overall system cost. The typical 'offshore' design process is summarized and issues such as reliability-based design and design of not normally manned structures are addressed. Lessons learned from poor design in the past are discussed to highlight areas where care is needed, and wave energy-specific design areas are reviewed. Opportunities for innovation and optimization in wave energy project and device design are discussed; wave energy projects must ultimately compete on a level playing field with other routes to low CO₂ energy and/or energy efficiency. This article is a personal viewpoint and not an expression of a ConocoPhillips position.

  6. Health, self-care and the offshore workforce - opportunities for behaviour change interventions, an epidemiological survey.

    PubMed

    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.

  7. 31 CFR 594.407 - 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. 594.407 Section 594.407 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF FOREIGN ASSETS CONTROL, DEPARTMENT OF THE TREASURY GLOBAL TERRORISM SANCTIONS REGULATIONS Interpretations...

  8. 31 CFR 594.407 - 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. 594.407 Section 594.407 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF FOREIGN ASSETS CONTROL, DEPARTMENT OF THE TREASURY GLOBAL TERRORISM SANCTIONS REGULATIONS Interpretations...

  9. 31 CFR 546.406 - Offshore transactions.

    Code of Federal Regulations, 2010 CFR

    2010-07-01

    ... 31 Money and Finance: Treasury 3 2010-07-01 2010-07-01 false Offshore transactions. 546.406 Section 546.406 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF FOREIGN ASSETS CONTROL, DEPARTMENT OF THE TREASURY DARFUR SANCTIONS REGULATIONS Interpretations...

  10. Assessment of Climate Change and Agricultural Land Use Change on Streamflow Input to Devils Lake: A Case Study of the Mauvais Coulee Sub-basin

    NASA Astrophysics Data System (ADS)

    Jackson, C.; Todhunter, P. E.

    2017-12-01

    Since 1993, Devils Lake in North Dakota has experienced a prolonged rise in lake level and flooding of the lake's neighboring areas within the closed basin system. Understanding the relative contribution of climate change and land use change is needed to explain the historical rise in lake level, and to evaluate the potential impact of anthropogenic climate change upon future lake conditions and management. Four methodologies were considered to examine the relative contribution of climatic and human landscape drivers to streamflow variations: statistical, ecohydrologic, physically-based modeling, and elasticity of streamflow; for this study, ecohydrologic and climate elasticity were selected. Agricultural statistics determined that Towner and Ramsey counties underwent a crop conversion from small grains to row crops within the last 30 years. Through the Topographic Wetness Index (TWI), a 10 meter resolution DEM confirmed the presence of innumerable wetland depressions within the non-contributing area of the Mauvais Coulee Sub-basin. Although the ecohydrologic and climate elasticity methodologies are the most commonly used in literature, they make assumptions that are not applicable to basin conditions. A modified and more informed approach to the use of these methods was applied to account for these unique sub-basin characteristics. Ultimately, hydroclimatic variability was determined as the largest driver to streamflow variation in Mauvais Coulee and Devils Lake.

  11. 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...

  12. 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...

  13. 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...

  14. 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...

  15. 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...

  16. 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...

  17. 31 CFR 537.406 - Offshore transactions.

    Code of Federal Regulations, 2011 CFR

    2011-07-01

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

  18. 31 CFR 593.406 - Offshore transactions.

    Code of Federal Regulations, 2010 CFR

    2010-07-01

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

  19. 31 CFR 593.406 - Offshore transactions.

    Code of Federal Regulations, 2012 CFR

    2012-07-01

    ... 31 Money and Finance:Treasury 3 2012-07-01 2012-07-01 false Offshore transactions. 593.406 Section 593.406 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF FOREIGN ASSETS CONTROL, DEPARTMENT OF THE TREASURY FORMER LIBERIAN REGIME OF CHARLES TAYLOR SANCTIONS...

  20. 31 CFR 593.406 - Offshore transactions.

    Code of Federal Regulations, 2013 CFR

    2013-07-01

    ... 31 Money and Finance:Treasury 3 2013-07-01 2013-07-01 false Offshore transactions. 593.406 Section 593.406 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF FOREIGN ASSETS CONTROL, DEPARTMENT OF THE TREASURY FORMER LIBERIAN REGIME OF CHARLES TAYLOR SANCTIONS...

  1. 31 CFR 593.406 - Offshore transactions.

    Code of Federal Regulations, 2011 CFR

    2011-07-01

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

  2. 31 CFR 593.406 - Offshore transactions.

    Code of Federal Regulations, 2014 CFR

    2014-07-01

    ... 31 Money and Finance:Treasury 3 2014-07-01 2014-07-01 false Offshore transactions. 593.406 Section 593.406 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF FOREIGN ASSETS CONTROL, DEPARTMENT OF THE TREASURY FORMER LIBERIAN REGIME OF CHARLES TAYLOR SANCTIONS...

  3. 31 CFR 547.406 - Offshore transactions.

    Code of Federal Regulations, 2012 CFR

    2012-07-01

    ... 31 Money and Finance:Treasury 3 2012-07-01 2012-07-01 false Offshore transactions. 547.406 Section 547.406 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF FOREIGN ASSETS CONTROL, DEPARTMENT OF THE TREASURY DEMOCRATIC REPUBLIC OF THE CONGO SANCTIONS REGULATIONS...

  4. 31 CFR 547.406 - Offshore transactions.

    Code of Federal Regulations, 2010 CFR

    2010-07-01

    ... 31 Money and Finance: Treasury 3 2010-07-01 2010-07-01 false Offshore transactions. 547.406 Section 547.406 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF FOREIGN ASSETS CONTROL, DEPARTMENT OF THE TREASURY DEMOCRATIC REPUBLIC OF THE CONGO SANCTIONS...

  5. 31 CFR 547.406 - Offshore transactions.

    Code of Federal Regulations, 2014 CFR

    2014-07-01

    ... 31 Money and Finance:Treasury 3 2014-07-01 2014-07-01 false Offshore transactions. 547.406 Section 547.406 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF FOREIGN ASSETS CONTROL, DEPARTMENT OF THE TREASURY DEMOCRATIC REPUBLIC OF THE CONGO SANCTIONS REGULATIONS...

  6. 31 CFR 547.406 - Offshore transactions.

    Code of Federal Regulations, 2011 CFR

    2011-07-01

    ... 31 Money and Finance:Treasury 3 2011-07-01 2011-07-01 false Offshore transactions. 547.406 Section 547.406 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF FOREIGN ASSETS CONTROL, DEPARTMENT OF THE TREASURY DEMOCRATIC REPUBLIC OF THE CONGO SANCTIONS REGULATIONS...

  7. 31 CFR 547.406 - Offshore transactions.

    Code of Federal Regulations, 2013 CFR

    2013-07-01

    ... 31 Money and Finance:Treasury 3 2013-07-01 2013-07-01 false Offshore transactions. 547.406 Section 547.406 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE OF FOREIGN ASSETS CONTROL, DEPARTMENT OF THE TREASURY DEMOCRATIC REPUBLIC OF THE CONGO SANCTIONS REGULATIONS...

  8. 31 CFR 587.406 - Offshore transactions.

    Code of Federal Regulations, 2010 CFR

    2010-07-01

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

  9. A Real-Time Offshore Weather Risk Advisory System

    NASA Astrophysics Data System (ADS)

    Jolivet, Samuel; Zemskyy, Pavlo; Mynampati, Kalyan; Babovic, Vladan

    2015-04-01

    Offshore oil and gas operations in South East Asia periodically face extended downtime due to unpredictable weather conditions, including squalls that are accompanied by strong winds, thunder, and heavy rains. This downtime results in financial losses. Hence, a real time weather risk advisory system is developed to provide the offshore Oil and Gas (O&G) industry specific weather warnings in support of safety and environment security. This system provides safe operating windows based on sensitivity of offshore operations to sea state. Information products for safety and security include area of squall occurrence for the next 24 hours, time before squall strike, and heavy sea state warning for the next 3, 6, 12 & 24 hours. These are predicted using radar now-cast, high resolution Numerical Weather Prediction (NWP) and Data Assimilation (DA). Radar based now-casting leverages the radar data to produce short term (up to 3 hours) predictions of severe weather events including squalls/thunderstorms. A sea state approximation is provided through developing a translational model based on these predictions to risk rank the sensitivity of operations. A high resolution Weather Research and Forecasting (WRF, an open source NWP model) is developed for offshore Brunei, Malaysia and the Philippines. This high resolution model is optimized and validated against the adaptation of temperate to tropical met-ocean parameterization. This locally specific parameters are calibrated against federated data to achieve a 24 hour forecast of high resolution Convective Available Potential Energy (CAPE). CAPE is being used as a proxy for the risk of squall occurrence. Spectral decomposition is used to blend the outputs of the now-cast and the forecast in order to assimilate near real time weather observations as an implementation of the integration of data sources. This system uses the now-cast for the first 3 hours and then the forecast prediction horizons of 3, 6, 12 & 24 hours. The output is

  10. 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.

  11. An advocacy coalition framework analysis of the development of offshore wind energy in South Carolina

    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.

  12. 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,…

  13. 77 FR 5545 - Commercial Leasing for Wind Power Development on the Outer Continental Shelf (OCS) 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...

  14. 75 FR 82055 - Commercial Leasing for Wind Power on the Outer Continental Shelf (OCS) Offshore Massachusetts...

    Federal Register 2010, 2011, 2012, 2013, 2014

    2010-12-29

    ... 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...

  15. Investigation of the Hosgri Fault, offshore Southern California, Point Sal to Point Conception

    USGS Publications Warehouse

    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.

  16. How downstream sub-basins depend on upstream inflows to avoid scarcity: typology and global analysis of transboundary rivers

    NASA Astrophysics Data System (ADS)

    Munia, Hafsa Ahmed; Guillaume, Joseph H. A.; Mirumachi, Naho; Wada, Yoshihide; Kummu, Matti

    2018-05-01

    Countries sharing river basins are often dependent upon water originating outside their boundaries; meaning that without that upstream water, water scarcity may occur with flow-on implications for water use and management. We develop a formalisation of this concept drawing on ideas about the transition between regimes from resilience literature, using water stress and water shortage as indicators of water scarcity. In our analytical framework, dependency occurs if water from upstream is needed to avoid scarcity. This can be diagnosed by comparing different types of water availability on which a sub-basin relies, in particular local runoff and upstream inflows. At the same time, possible upstream water withdrawals reduce available water downstream, influencing the latter water availability. By developing a framework of scarcity and dependency, we contribute to the understanding of transitions between system regimes. We apply our analytical framework to global transboundary river basins at the scale of sub-basin areas (SBAs). Our results show that 1175 million people live under water stress (42 % of the total transboundary population). Surprisingly, the majority (1150 million) of these currently suffer from stress only due to their own excessive water use and possible water from upstream does not have impact on the stress status - i.e. they are not yet dependent on upstream water to avoid stress - but could still impact on the intensity of the stress. At the same time, 386 million people (14 %) live in SBAs that can avoid stress owing to available water from upstream and have thus upstream dependency. In the case of water shortage, 306 million people (11 %) live in SBAs dependent on upstream water to avoid possible shortage. The identification of transitions between system regimes sheds light on how SBAs may be affected in the future, potentially contributing to further refined analysis of inter- and intrabasin hydro-political power relations and strategic planning

  17. 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...

  18. 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...

  19. 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...

  20. 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...

  1. 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...

  2. Application of GNSS Methods for Monitoring Offshore Platform Deformation

    NASA Astrophysics Data System (ADS)

    Myint, Khin Cho; Nasir Matori, Abd; Gohari, Adel

    2018-03-01

    Global Navigation Satellite System (GNSS) has become a powerful tool for high-precision deformation monitoring application. Monitoring of deformation and subsidence of offshore platform due to factors such as shallow gas phenomena. GNSS is the technical interoperability and compatibility between various satellite navigation systems such as modernized GPS, Galileo, reconstructed GLONASS to be used by civilian users. It has been known that excessive deformation affects platform structurally, causing loss of production and affects the efficiency of the machinery on board the platform. GNSS have been proven to be one of the most precise positioning methods where by users can get accuracy to the nearest centimeter of a given position from carrier phase measurement processing of GPS signals. This research is aimed at using GNSS technique, which is one of the most standard methods to monitor the deformation of offshore platforms. Therefore, station modeling, which accounts for the spatial correlated errors, and hence speeds up the ambiguity resolution process is employed. It was found that GNSS combines the high accuracy of the results monitoring the offshore platforms deformation with the possibility of survey.

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

    DOE Office of Scientific and Technical Information (OSTI.GOV)

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

    1995-12-31

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

  4. Work environment, overtime and sleep among offshore personnel.

    PubMed

    Parkes, Katharine R

    2017-02-01

    Personnel working on North Sea oil/gas installations are exposed to remote and potentially hazardous environments, and to extended work schedules (typically, 14×12h shifts). Moreover, overtime (additional to the standard 84-h week) is not uncommon among offshore personnel. Evidence from onshore research suggests that long work hours and adverse environmental characteristics are associated with sleep impairments, and consequently with health and safety risks, including accidents and injuries. However, little is known about the extent to which long hours and a demanding work environment combine synergistically in relation to sleep. The present study sought to address this issue, using survey data collected from offshore day-shift personnel (N=551). The multivariate analysis examined the additive and interactive effects of overtime and measures of the psychosocial/physical work environment (job demands, job control, supervisor support, and physical stressors) as predictors of sleep outcomes during offshore work weeks. Control variables, including age and sleep during leave weeks, were also included in the analysis model. Sleep duration and quality were significantly impaired among those who worked overtime (54% of the participants) relative to those who worked only 12-h shifts. A linear relationship was found between long overtime hours and short sleep duration; personnel who worked >33h/week overtime reported <6h/day sleep. Significant interactions were also found; sleep duration was negatively related to job demands, and positively related to supervisor support, only among personnel who worked overtime. Poor sleep quality was predicted by the additive effects of overtime, low support and an adverse physical environment. These findings highlight the need to further examine the potential health and safety consequences of impaired sleep associated with high overtime rates offshore, and to identify the extent to which adverse effects of overtime can be mitigated by

  5. Ranking the Potential Yield of Salinity and Selenium from Subbasins in the Lower Gunnison River Basin Using Seasonal, Multi-parameter Regression Models

    NASA Astrophysics Data System (ADS)

    Linard, J.; Leib, K.; Colorado Water Science Center

    2010-12-01

    Elevated levels of salinity and dissolved selenium can detrimentally effect the quality of water where anthropogenic and natural uses are concerned. In areas, such as the lower Gunnison Basin of western Colorado, salinity and selenium are such a concern that control projects are implemented to limit their mobilization. To prioritize the locations in which control projects are implemented, multi-parameter regression models were developed to identify subbasins in the lower Gunnison River Basin that were most likely to have elevated salinity and dissolved selenium levels. The drainage area is about 5,900 mi2 and is underlain by Cretaceous marine shale, which is the most common source of salinity and dissolved selenium. To characterize the complex hydrologic and chemical processes governing constituent mobilization, geospatial variables representing 70 different environmental characteristics were correlated to mean seasonal (irrigation and nonirrigation seasons) salinity and selenium yields estimated at 154 sampling sites. The variables generally represented characteristics of the physical basin, precipitation, soil, geology, land use, and irrigation water delivery systems. Irrigation and nonirrigation seasons were selected due to documented effects of irrigation on constituent mobilization. Following a stepwise approach, combinations of the geospatial variables were used to develop four multi-parameter regression models. These models predicted salinity and selenium yield, within a 95 percent confidence range, at individual points in the Lower Gunnison Basin for irrigation and non-irrigation seasons. The corresponding subbasins were ranked according to their potential to yield salinity and selenium and rankings were used to prioritize areas that would most benefit from control projects.

  6. Evaluation of perchlorate sources in the Rialto-Colton and Chino California subbasins using chlorine and oxygen isotope ratio analysis

    USGS Publications Warehouse

    Hatzinger, Paul B.; Böhlke, John Karl; Izbicki, John; Teague, Nicholas F.; Sturchio, Neil C.

    2015-01-01

    Perchlorate (ClO4-) in groundwater can be from synthetic or natural sources, the latter of which include both historical application of imported nitrate fertilizers from the Atacama Desert of Chile and naturally deposited ClO4- that forms atmospherically and accumulates in arid regions such as the southwestern US. The objective of this study was to evaluate the use of isotopic data to distinguish sources of ClO4- in groundwater in a specific region of the Rialto-Colton and Chino, CA groundwater subbasins (Study Area). This region includes two groundwater ClO4- plumes emanating from known military/industrial source areas, and a larger area outside of these plumes having measurable ClO4-. Perchlorate extracted from wells in this region was analyzed for chlorine and oxygen stable isotope ratios (δ37Cl, δ18O, δ17O) and radioactive chlorine-36 (36Cl) isotopic abundance, along with other geochemical, isotopic, and hydrogeologic data. Isotope data indicate synthetic, Atacama, and indigenous natural ClO4- were present in the Study Area. Stable isotope data from nearly all sampled wells within the contours of the two characterized plumes, including those located in a perched zone and within the regional groundwater aquifer, were consistent with a dominant synthetic ClO4- source. In wells downgradient from the synthetic plumes and in the Chino subbasin to the southwest, isotopic data indicate the dominant source of ClO4- largely was Atacama, presumably from historical application of nitrate fertilizer in this region. Past agricultural land use and historical records are consistent with this source being present in groundwater. The 36Cl and δ18O data indicate that wells having predominantly synthetic or Atacama ClO4- also commonly contained small fractions of indigenous natural ClO4-. The indigenous ClO4- was most evident isotopically in wells having the lowest overall ClO4- concentrations (< 1 μg/L), consistent with its occurrence as a low-level background constituent

  7. Trophic connections in Lake Superior Part I: the offshore fish community

    USGS Publications Warehouse

    Gamble, A.E.; Hrabik, T.R.; Stockwell, J.D.; Yule, D.L.

    2011-01-01

    Detailed diet linkages within the offshore (> 80 m bathymetric depth) food web of Lake Superior are currently not well identified. We used analyses of fish stomach contents to create an empirically based food web model of the Lake Superior offshore fish community. Stomachs were collected seasonally (spring, summer, and fall) from nine offshore locations in 2005, using bottom and midwater trawls. In total, 2643 stomachs representing 12 fish species were examined. The predominant fish species collected were deepwater sculpin (Myoxocephalus thompsonii), siscowet (Salvelinus namaycush siscowet), kiyi (Coregonus kiyi), and cisco (Coregonus artedi). Mysis diluviana was the most common prey item, indicating that changes in Mysis abundance could have a profound impact on the entire offshore food web. Mysis was the primary diet item of deepwater sculpin (≥ 53% by mass) and kiyi (≥ 96% by mass) regardless of depth or season. The invasive Bythotrephes was an important diet component of the pelagic cisco in summer and fall. Deepwater sculpin were the primary diet item of siscowet (≥ 52% by mass), with coregonines appearing in the diet of larger (> 400 mm) siscowet. Non-metric multidimensional scaling analysis indicated that there were no statistically significant seasonal or site-specific differences in diets of deepwater sculpin, cisco, or kiyi. Site was the primary structuring factor in siscowet diets. Generally, in Lake Superior, the diet items of the dominant offshore species did not appear to be in danger from those types of major ecological shifts occurring in the lower Laurentian Great Lakes.

  8. Review of technology for Arctic offshore oil and gas recovery. Appendices

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Sackinger, W. M.

    1980-06-06

    This volume contains appendices of the following: US Geological Survey Arctic operating orders, 1979; Det Noske Vertas', rules for the design, construction and inspection of offshore technology, 1977; Alaska Oil and Gas Association, industry research projects, March 1980; Arctic Petroleum Operator's Association, industry research projects, January 1980; selected additional Arctic offshore bibliography on sea ice, icebreakers, Arctic seafloor conditions, ice-structures, frost heave and structure icing.

  9. Engineering Challenges for Floating Offshore Wind Turbines

    DOE Office of Scientific and Technical Information (OSTI.GOV)

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

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

  10. Floating Offshore Wind in Hawaii: Potential for Jobs and Economic Impacts from Three 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 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

  11. Moving Cages Further Offshore: Effects on Southern Bluefin Tuna, T. maccoyii, Parasites, Health and Performance

    PubMed Central

    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

  12. Modeling and Simulation of Offshore Wind Power Platform for 5 MW Baseline NREL Turbine.

    PubMed

    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.

  13. Modeling and Simulation of Offshore Wind Power Platform for 5 MW Baseline NREL Turbine

    PubMed Central

    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

  14. 31 CFR 538.408 - 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. 538.408 Section 538.408 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE... effective date, or with respect to goods, technology or services which the U.S. person knows, or has reason...

  15. 31 CFR 586.407 - 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. 586.407 Section 586.407 Money and Finance: Treasury Regulations Relating to Money and Finance (Continued) OFFICE... dealing in, within such locations, goods, technology or services in which the U.S. person knows, or has...

  16. 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...

  17. 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...

  18. Offshore Investments by Colleges Draw Scrutiny

    ERIC Educational Resources Information Center

    Fain, Paul; Wolverton, Brad

    2007-01-01

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

  19. 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.

  20. Spatial and temporal trends in Precambrian nitrogen cycling: A Mesoproterozoic offshore nitrate minimum

    NASA Astrophysics Data System (ADS)

    Koehler, Matthew C.; Stüeken, Eva E.; Kipp, Michael A.; Buick, Roger; Knoll, Andrew H.

    2017-02-01

    Fixed nitrogen is an essential nutrient for eukaryotes. As N2 fixation and assimilation of nitrate are catalyzed by metalloenzymes, it has been hypothesized that in Mesoproterozoic oceans nitrate was limited in offshore environments by low trace metal concentrations and high rates of denitrification in anoxic and episodically euxinic deep water masses, restricting eukaryotes to near-shore environments and limiting their evolutionary innovation. To date this hypothesis has only been tested in the Belt Supergroup (∼1.4 Ga), with results that support an onshore-offshore nitrate gradient as a potential control on eukaryote ecology. Here we present bulk nitrogen and organic carbon isotopic data from non-isochronous cross-basinal facies across the Bangemall (∼1.5 Ga) and the Roper (∼1.4-1.5 Ga) basins to better understand the extent and variability of onshore-offshore nitrogen isotope gradients in the Mesoproterozoic. Both basins show an average ∼1-2‰ enrichment in δ15Nbulk from deep to shallow facies, with a maximum range from -1‰ offshore to +7.5‰ onshore. Unlike the Belt basin, the Bangemall and Roper basins show some offshore δ15Nbulk values that are enriched beyond the isotopic range associated with biological N2 fixation alone. This suggests a mixture of aerobic and anaerobic metabolisms offshore. In shallow waters, where δ15Nbulk enrichment peaks, an aerobic nitrogen cycle was evidently operating. Even though isotopic signatures of aerobic nitrogen cycling are seen in all parts of the Bangemall and Roper basins, our data are consistent with a lateral gradient in nitrate availability within the photic zone, with higher concentrations in near-shore environments than offshore. The variability in δ15Nbulk values in each depositional environment and the consistently low δ15Nbulk values from Mesoproterozoic units compared to the Paleoproterozoic and Neoproterozoic suggest that nitrate concentrations in the global ocean were likely low. This trend is

  1. Investigations into the Early Life History of Naturally Produced Spring Chinook Salmon and Summer Steelhead in the Grande Ronde River Subbasin, Annual Report 2008 : Project Period 1 February 2008 to 31 January 2009.

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Yanke, Jeffrey A.; Alfonse, Brian M.; Bratcher, Kyle W.

    2009-07-31

    This study was designed to document and describe the status and life history strategies of spring Chinook salmon and summer steelhead in the Grande Ronde River Subbasin. We determined migration timing, abundance, and life-stage survival rates for juvenile spring Chinook salmon Oncorhynchus tshawytscha and summer steelhead O. mykiss in four streams during migratory year 2008 from 1 July 2007 through 30 June 2008. As observed in previous years of this study, spring Chinook salmon and steelhead exhibited fall and spring movements out of natal rearing areas, but did not begin their smolt migration through the Snake and lower Columbia Rivermore » hydrosystem until spring. In this report we provide estimates of migrant abundance and migration timing for each study stream, and their survival and timing to Lower Granite Dam. We also document aquatic habitat conditions using water temperature and stream flow in four study streams in the subbasin.« less

  2. Species density of waterbirds in offshore habitats in western Lake Erie

    USGS Publications Warehouse

    Stapanian, M.A.; Waite, Thomas A.

    2003-01-01

    Offshore censuses of birds are lacking for inland seas, such as the Laurentian Great Lakes, but may provide valuable information for managing species that are in conflict with human interests. Birds were counted along 31 established transects in four habitats in western Lake Erie: offshore of waterbird refuges, offshore of beaches with human development, on reefs and shoals, and in open water. A total of 161 10-min counts were conducted between 24 April and 1 September 2000. The mean number of aquatic bird species/kmA? (species density) was greater offshore of refuges than on open water. For all habitats combined, species density increased over time. This was mainly due to the arrival of Bonaparte's Gulls (Larus philadelphia) and Great Black-backed Gulls (L. marinus), two fall and winter residents that do not breed in the study area, and increased use of open water and reefs and shoals by Herring Gulls (L argentatus) and Ring-billed Gulls (L delawarensis) after the nesting season. Species density was not strongly spatially autocorrelated, either for all species or for only those species that were floating on the water when recorded. Neither Double-crested Cormorants (Phalacrocorax auritus) nor Herring Gulls exhibited spatial autocorrelation. In contrast, Bonaparte's and Ring-billed gulls exhibited positive spatial autocorrelations. Unlike marine studies, species density was only weakly associated with water depth. This result was due mainly to Double-crested Cormorants, the only diving bird species that lived year-round in the area, which preferred reefs and shoals (depth 3-6 m) over open water (10 m). The results suggest that offshore habitat influences species density in this area during the breeding and immediate post-breeding seasons.

  3. Middle and upper Miocene natural gas sands in onshore and offshore Alabama

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Mink, R.M.; Mancini, E.A.; Bearden, B.L.

    1988-09-01

    Thirty Miocene natural gas fields have been established in onshore and offshore Alabama since the discovery of Miocene gas in this area in 1979. These fields have produced over 16 bcf of natural gas from the middle Miocene Amos sand (24 fields) and upper Miocene Luce (3 fields), Escambia (1 field), and Meyer (3 fields) sands. Production from the Amos transgressive sands represents over 92% of the cumulative shallow Miocene natural gas produced in onshore and offshore Alabama. In addition, over 127 bcf of natural gas has been produced from upper Miocene sands in the Chandeleur area. The productive Miocenemore » section in onshore and coastal Alabama is interpreted to present transgressive marine shelf and regressive shoreface sands. The middle Miocene Amos sand bars are the most productive reservoirs of natural gas in onshore and coastal Alabama, principally due to the porous and permeable nature of these transgressive sands and their stratigraphic relationship to the underlying basinal clays in this area. In offshore Alabama the upper Miocene sands become thicker and are generally more porous and permeable than their onshore equivalents. Because of their deeper burial depth in offshore Alabama, these upper Miocene sands are associated with marine clays that are thermally more mature. The combination of reservoir grade lithologies associated with moderately mature petroleum source rocks enhances the natural gas potential of the upper Miocene sands in offshore Alabama.« less

  4. 75 FR 39957 - Certificate of Alternative Compliance for the Offshore Supply Vessel/Well Stimulation Vessel BLUE...

    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...

  5. 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...

  6. "Leveraged Footprints", "Dark Clouds" and "Bleeding Millions": Perspectives on Australian Universities' Offshore Campuses

    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…

  7. Numerical investigation of interactions between marine atmospheric boundary layer and offshore wind farm

    NASA Astrophysics Data System (ADS)

    Lyu, Pin; Chen, Wenli; Li, Hui; Shen, Lian

    2017-11-01

    In recent studies, Yang, Meneveau & Shen (Physics of Fluids, 2014; Renewable Energy, 2014) developed a hybrid numerical framework for simulation of offshore wind farm. The framework consists of simulation of nonlinear surface waves using a high-order spectral method, large-eddy simulation of wind turbulence on a wave-surface-fitted curvilinear grid, and an actuator disk model for wind turbines. In the present study, several more precise wind turbine models, including the actuator line model, actuator disk model with rotation, and nacelle model, are introduced into the computation. Besides offshore wind turbines on fixed piles, the new computational framework has the capability to investigate the interaction among wind, waves, and floating wind turbines. In this study, onshore, offshore fixed pile, and offshore floating wind farms are compared in terms of flow field statistics and wind turbine power extraction rate. The authors gratefully acknowledge financial support from China Scholarship Council (No. 201606120186) and the Institute on the Environment of University of Minnesota.

  8. Planners to the rescue: spatial planning facilitating the development of offshore wind energy.

    PubMed

    Jay, Stephen

    2010-04-01

    The development of offshore wind energy has started to take place surprisingly quickly, especially in North European waters. This has taken the wind energy industry out of the territory of planning systems that usually govern the siting of wind farms on land, and into the world of departmental, sectoral regulation of marine activities. Although this has favoured the expansion of offshore wind energy in some respects, evidence suggests that the practice and principles of spatial planning can make an important contribution to the proper consideration of proposals for offshore wind arrays. This is especially so when a strategic planning process is put in place for marine areas, in which offshore wind is treated as part of the overall configuration of marine interests, so that adjustments can be made in the interests of wind energy. The current process of marine planning in the Netherlands is described as an illustration of this. (c) 2009 Elsevier Ltd. All rights reserved.

  9. Interior Department Suggests Improvements for Offshore Arctic Oil and Gas Drilling

    NASA Astrophysics Data System (ADS)

    Showstack, Randy

    2013-03-01

    Shell's "difficulties" during its 2012 program to drill offshore oil and natural gas exploration wells in the Alaskan Arctic Ocean "have raised serious questions regarding its ability to operate safely and responsibly in the challenging and unpredictable conditions offshore Alaska," according to the report "Review of Shell's 2012 Alaska Offshore Oil and Gas Exploration Program," issued by the U.S. Department of the Interior (DOI) on 8 March. Noting the company's lack of adequate preparation for drilling in the Arctic, its failure to deploy a specialized Arctic Containment System, and the grounding of the Kulluk drilling rig near Kodiak Island last December, the report recommends that Shell develop a comprehensive and integrated plan describing its future drilling program and related operations and that it commission a third-party audit of its management systems, including its safety and environmental management systems program.

  10. Development of fast wireless detection system for fixed offshore platform

    NASA Astrophysics Data System (ADS)

    Li, Zhigang; Yu, Yan; Jiao, Dong; Wang, Jie; Li, Zhirui; Ou, Jinping

    2011-04-01

    Offshore platforms' security is concerned since in 1950s and 1960s, and in the early 1980s some important specifications and standards are built, and all these provide technical basis of fixed platform design, construction, installation and evaluation. With the condition that more and more platforms are in serving over age, the research about the evaluation and detection technology of offshore platform has been a hotspot, especially underwater detection, and assessment method based on the finite element calculation. For fixed platform structure detection, conventional NDT methods, such as eddy current, magnetic powder, permeate, X-ray and ultrasonic, etc, are generally used. These techniques are more mature, intuitive, but underwater detection needs underwater robot, the necessary supporting tools of auxiliary equipment, and trained professional team, thus resources and cost used are considerable, installation time of test equipment is long. This project presents a new kind of fast wireless detection and damage diagnosis system for fixed offshore platform using wireless sensor networks, that is, wireless sensor nodes can be put quickly on the offshore platform, detect offshore platform structure global status by wireless communication, and then make diagnosis. This system is operated simply, suitable for offshore platform integrity states rapid assessment. The designed system consists in intelligence acquisition equipment and 8 wireless collection nodes, the whole system has 64 collection channels, namely every wireless collection node has eight 16-bit accuracy of A/D channels. Wireless collection node, integrated with vibration sensing unit, embedded low-power micro-processing unit, wireless transceiver unit, large-capacity power unit, and GPS time synchronization unit, can finish the functions such as vibration data collection, initial analysis, data storage, data wireless transmission. Intelligence acquisition equipment, integrated with high

  11. Total petroleum systems of the Paleozoic and Jurassic, Greater Ghawar Uplift and adjoining provinces of central Saudi Arabia and northern Arabian-Persian Gulf

    USGS Publications Warehouse

    Pollastro, Richard M.

    2003-01-01

    Oil of the Arabian Sub-Basin Tuwaiq/Hanifa-Arab TPS is sourced by organic-rich, marine carbonates of the Jurassic Tuwaiq Mountain and Hanifa Formations. These source rocks were deposited in two of three intraplatform basins during the Jurassic and, where thermally mature, have generated a superfamily of oils with distinctive geochemical characteristics. Oils were generated and expelled from these source rocks beginning in the Cretaceous at about 75 Ma. Hydrocarbon production is from 3 cyclic carbonate-rock reservoirs of the Arab Formation that are sealed by overlying anhydrite. Several giant and supergiant fields, including the world's largest oil field at Ghawar, Saudi Arabia, produce mostly from the Arab carbonate-rock reservoirs. Two assessment units are also recognized in the Arabian Sub-Basin Tuwaiq/Hanifa-Arab TPS that are similarly related to structural trap style and presence of underlying Infracambrian salt: (1) an onshore Horst-Block Anticlinal Oil AU, and (2) a mostly offshore Salt-Involved Structural Oil AU. The mean total volume of undiscovered resource for the Arabian Sub-Basin Tuwaiq/Hanifa-Arab TPS is estimated at about 49 billion barrels of oil equivalent (42 billion barrels of oil, 34 trillion feet of gas, and 1.4 billion barrels of natural gas liquids).

  12. IEA Wind Task 26: Offshore Wind Farm Baseline Documentation

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Smart, Gavin; Smith, Aaron; Warner, Ethan

    This document has been produced to provide the definition and rationale for the Baseline Offshore Wind Farm established within IEA Wind Task 26--Cost of Wind Energy. The Baseline has been developed to provide a common starting point for country comparisons and sensitivity analysis on key offshore wind cost and value drivers. The baseline project reflects an approximate average of the characteristics of projects installed between 2012 and 2014, with the project life assumed to be 20 years. The baseline wind farm is located 40 kilometres (km) from construction and operations and maintenance (O&M) ports and from export cable landfall. Themore » wind farm consists of 100 4-megawatt (MW) wind turbines mounted on monopile foundations in an average water depth of 25 metres (m), connected by 33-kilovolt (kV) inter-array cables. The arrays are connected to a single offshore substation (33kV/220kV) mounted on a jacket foundation, with the substation connected via a single 220kV export cable to an onshore substation, 10km from landfall. The wind farm employs a port-based O&M strategy using crew-transfer vessels.« less

  13. Offshoring of healthcare services: the case of US-India trade in medical transcription services.

    PubMed

    Kshetri, Nir; Dholakia, Nikhilesh

    2011-01-01

    - The issue of offshore outsourcing of healthcare services is a critical but little-examined problem in healthcare research. The purpose of this study is to contribute to filling this void. A library-based study was carried out of the development of the Indian medical transcription offshoring industry. Findings- Cost-saving potential and the degree of outsourceability are higher for medical transcription compared with most services. Offshoring experience, typically in a low-value BPO, helps to enhance productivity and international linkages required for the success of medical transcription. Research limitations/implications - An important area of future research concerns comparing India's factor endowments in medical transcription outsourcing with other services. Further research is also needed to examine how India differs from its regional competitors in terms of factors endowments associated with these services. Another extension would be to investigate the drivers of offshoring of higher value services such as radiological readings. Practical implications - ICT infrastructures needed for outsourcing require much less investment compared with leading capital-intensive industries. The development patterns of the Indian medical and offshoring industries indicate that India may attract higher skilled medical functions in the future. The Indian offshoring industry is shifting its focus from BPO to knowledge process outsourcing (KPO). Developing countries need to shift to greater automation and greater levels of skill training to retain and reinforce their comparative advantages. This paper's greatest value stems from the fact that it examines the drivers of a new but rapidly growing healthcare industry.

  14. Improving Critical Thinking Using a Web-Based Tutorial Environment.

    PubMed

    Wiesner, Stephen M; Walker, J D; Creeger, Craig R

    2017-01-01

    With a broad range of subject matter, students often struggle recognizing relationships between content in different subject areas. A scenario-based learning environment (SaBLE) has been developed to enhancing clinical reasoning and critical thinking among undergraduate students in a medical laboratory science program and help them integrate their new knowledge. SaBLE incorporates aspects of both cognitive theory and instructional design, including reduction of extraneous cognitive load, goal-based learning, feedback timing, and game theory. SaBLE is a website application that runs in most browsers and devices, and is used to develop randomly selected scenarios that challenge user thinking in almost any scenario-based instruction. User progress is recorded to allow comprehensive data analysis of changes in user performance. Participation is incentivized using a point system and digital badges or awards. SaBLE was deployed in one course with a total exposure for the treatment group of approximately 9 weeks. When assessing performance of SaBLE participants, and controlling for grade point average as a possible confounding variable, there was a statistically significant correlation between the number of SaBLE levels completed and performance on selected critical-thinking exam questions addressing unrelated content.

  15. ANALYSIS FOR HOUSE DAMAGE PROPERTY OF 2007 MID-NIIGATA PREFECTURE OFFSHORE EARTHQUAKE

    NASA Astrophysics Data System (ADS)

    Ochiai, Hirokazu; Yamada, Kento; Ohtsuka, Satoru; Isobe, Koichi

    This paper reports the result of correlation analysis for house damage in 2007 Mid-piigata prefecture offshore earthquake by focusing geomorphological land classification and other factors as landform and ground properties with organizing the house damage data of disaster victim certificate conducted by public administrations. In former part of the paper, the features of house damage at 2007 Mid-Niigata prefecture offshore earthquake were analyzed for various influencing factors. The authors discussed the affrecting factors to houses at earthquake. In latter part, the features of house damage at 2007 Mid-Niigata prefecture offshore earthquake was discussed with that at 2004 Mid-Niigata prefecture earthquake. The house damage function of distance from the epicenter was proposed based on the analysis on house damage ratio recorded in two earthquakes.

  16. 77 FR 5552 - Commercial Leasing for Wind Power on the Outer Continental Shelf Offshore Maryland-Call for...

    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...

  17. 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.

  18. Columbia Plateau Basin and Fifteenmile Subbasin Water Rights Acquisitons; Oregon Water Trust Combined Work Plan, 2002-2003 Final Report.

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Paulus, Fritz

    2003-12-01

    This is the Final Report submitted regarding Oregon Water Trust's Combined Work Plan for fiscal year 2003, with the contract period April 2002 to May 2003. Of this 12 month period, six month were spent concluding our work for the 2002 irrigation season and six months were spent preparing for the 2003 irrigation season. After this grant was completed, projects were finished with funding from the Columbia Basin Water Transactions Program. Many of the 2003 irrigation season successes began in the fall of 2002, when projects were researched and partnerships were developed. Trout Creek Ranch was one of the largemore » successes. During the 2003 irrigation season, 2.6 cfs was leased which led to a permanent instream transfer, protecting critical spawning habitat for summer steelhead in the Deschutes basin. Another success was the Walla Walla Lease Bank project. This project is an agreement between the OWT, the Walla Walla Irrigation District and 11 individual landowners. Through this single year lease, 7.9 cfs of water was legally protected in the Walla Walla River. The Vidando lease on Middle Fork John Day River was renewed for 2 more years, protecting 11.29 cfs. An innovative single year split-season lease was conducted with Voight on Standard Creek in the John Day basin to protect 4.93 cfs. Many other deals were conducted and the total was an impressive 50.43 cfs instream during 2003 and 9.39 cfs pending approval for the 2004 season. Included is a summary of the activities within the Fifteenmile subbasin and the Columbia Plateau basin by quarter and two tables. The summary of activities is broken down by objectives and quarters. The first summarizes the total cfs by type of lease or transfer. The second table lists all the projects by subbasin and provides project type, lease number, cfs, cost of acquisition, partners in the project and funding source.« less

  19. Potential climatic impacts and reliability of large-scale offshore wind farms

    NASA Astrophysics Data System (ADS)

    Wang, Chien; Prinn, Ronald G.

    2011-04-01

    The vast availability of wind power has fueled substantial interest in this renewable energy source as a potential near-zero greenhouse gas emission technology for meeting future world energy needs while addressing the climate change issue. However, in order to provide even a fraction of the estimated future energy needs, a large-scale deployment of wind turbines (several million) is required. The consequent environmental impacts, and the inherent reliability of such a large-scale usage of intermittent wind power would have to be carefully assessed, in addition to the need to lower the high current unit wind power costs. Our previous study (Wang and Prinn 2010 Atmos. Chem. Phys. 10 2053) using a three-dimensional climate model suggested that a large deployment of wind turbines over land to meet about 10% of predicted world energy needs in 2100 could lead to a significant temperature increase in the lower atmosphere over the installed regions. A global-scale perturbation to the general circulation patterns as well as to the cloud and precipitation distribution was also predicted. In the later study reported here, we conducted a set of six additional model simulations using an improved climate model to further address the potential environmental and intermittency issues of large-scale deployment of offshore wind turbines for differing installation areas and spatial densities. In contrast to the previous land installation results, the offshore wind turbine installations are found to cause a surface cooling over the installed offshore regions. This cooling is due principally to the enhanced latent heat flux from the sea surface to lower atmosphere, driven by an increase in turbulent mixing caused by the wind turbines which was not entirely offset by the concurrent reduction of mean wind kinetic energy. We found that the perturbation of the large-scale deployment of offshore wind turbines to the global climate is relatively small compared to the case of land

  20. Oligocene Fluvio-Deltaic Depositional Environments Salin Sub-Basin, Central Myanmar

    NASA Astrophysics Data System (ADS)

    Gough, A.; Hall, R.

    2017-12-01

    A recent increase in accessibility for research in Myanmar has allowed rapid advancements in the understanding of the geology of the country. Evolving depositional environments can be reconstructed in largely unstudied Oligocene deposits of the Salin sub-basin, of the Central Myanmar Basin. Data has been collected through a fieldwork campaign to target well-exposed sediments along the western margin of the basin. The studied outcrops span approximately one hundred kilometres from north to south, and a series of sedimentary logs, palaeocurrent data, 2D panel diagrams, and samples for petrographical analysis have been collected and interpreted. The Oligocene formations studied include the Shwezetaw, Paduang, and Okhmintaung, each of which show a broadly southwards-trending fluvio-deltaic environment of deposition. Towards the north, the lower Rupelian Shwezetaw Formation comprises thick fluviatile sandstones which grade southwards through macrotidal-dominated fluvio-deltaic interbedded siltstones and rare sandstones, into marine sandstones. Overlying this, the upper Rupelian Paduang Formation grades rapidly from rare fluvial sandstones towards the north of the basin into deltaic and marine interbedded sandstones and siltstones to the south. This formation is more marine in nature, suggesting a minor transgression throughout the lower Oligocene. By the time of deposition of the Okhmintaung Formation in the Chattian the observed deposits solely represent a tidally-influenced deltaic depositional environment, with very little temporal variation, suggesting a stable sea level. Despite the relatively unchanging depositional environment, the formations are approximately 4000 m thick, suggesting that sedimentation kept pace with relatively rapid subsidence. This current study, which will combine depositional environment reconstruction, provenance, and sediment routing analysis, will provide important insights into both the tectonic setting and the huge sediment accumulation

  1. Effects of sea state on offshore wind resourcing in Florida

    NASA Astrophysics Data System (ADS)

    Collier, Cristina

    Offshore resource assessment relies on estimating wind speeds at turbine hub height using observations typically made at substantially lower height. The methods used to adjust from observed wind speeds to hub height can impact resource estimation. The importance of directional sea state is examined, both as seasonal averages and as a function of the diurnal cycle. A General Electric 3.6 MW offshore turbine is used as a model for a power production. Including sea state increases or decreases seasonally averaged power production by roughly 1%, which is found to be an economically significant change. These changes occur because the sea state modifies the wind shear (vector wind difference between the buoy height and the moving surface) and therefore the extrapolation from the observation to hub height is affected. These seemingly small differences in capacity can alter profits by millions of dollars depending upon the size of the farm and fluctuations in price per kWh throughout the year. A 2% change in capacity factor can lead to a 10 million dollar difference from total kWh produced from a wind farm of 100 3.6MW turbines. These economic impacts can be a deciding factor in determining whether a resource is viable for development. Modification of power output due to sea states are shown for seasonal and diurnal time scales. Three regions are examined herein: West Florida, East Florida, and Nantucket Sound. The average capacity after sea state is included suggests areas around Florida could provide substantial amounts of wind power throughout three-fourths of the calendar year. At certain times of day winter average produced capacity factors in West Florida can be up to 45% more than in summer when sea state is included. Nantucket Sound capacity factors are calculated for comparison to a region near a planned United States offshore wind farm. This study provides evidence to suggest including sea state in offshore wind resource assessment causes economically significant

  2. 78 FR 760 - Potential Commercial Leasing for Wind Power on the Outer Continental Shelf (OCS) Offshore New...

    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...

  3. Quantitative CMMI Assessment for Offshoring through the Analysis of Project Management Repositories

    NASA Astrophysics Data System (ADS)

    Sunetnanta, Thanwadee; Nobprapai, Ni-On; Gotel, Olly

    The nature of distributed teams and the existence of multiple sites in offshore software development projects pose a challenging setting for software process improvement. Often, the improvement and appraisal of software processes is achieved through a turnkey solution where best practices are imposed or transferred from a company’s headquarters to its offshore units. In so doing, successful project health checks and monitoring for quality on software processes requires strong project management skills, well-built onshore-offshore coordination, and often needs regular onsite visits by software process improvement consultants from the headquarters’ team. This paper focuses on software process improvement as guided by the Capability Maturity Model Integration (CMMI) and proposes a model to evaluate the status of such improvement efforts in the context of distributed multi-site projects without some of this overhead. The paper discusses the application of quantitative CMMI assessment through the collection and analysis of project data gathered directly from project repositories to facilitate CMMI implementation and reduce the cost of such implementation for offshore-outsourced software development projects. We exemplify this approach to quantitative CMMI assessment through the analysis of project management data and discuss the future directions of this work in progress.

  4. Imaging Cascadia coupling: optimal design for an offshore seafloor geodetic network

    NASA Astrophysics Data System (ADS)

    Evans, E. L.; Minson, S. E.

    2017-12-01

    The Cascadia subduction zone in the Pacific Northwest of the United States is known to produce MW≈9.2 earthquakes, and accompanying tsunamis every 600 years. An outstanding question in this region (as in most offshore subduction zones) is the degree to which the megathrust is locked (i.e., the coupling rate), and whether the locked zone extends to the trench, where onshore geodetic measurements cannot uniquely resolve strain accumulation. Seafloor geodetic techniques, such as acoustic ranging combined with GNSS positioning, are capable of providing unique observations of strain accumulation near the offshore trench of subduction zones. These observations may be used to constrain megathrust coupling rate and spatial distribution, and ultimately forecast the potential size and rupture pattern of a future subduction zone earthquake, with resolution beyond the capability of onshore observations alone. However, the high cost of seafloor geodesy limits the number of stations that may be deployed and monitored. Therefore, it is essential that deployed stations be positioned in such a way to provide the most informative data for resolving subduction zone coupling. We identify optimal seafloor observation locations by minimizing the Shannon Information Entropy of potential geodetic observation locations, given the current onshore geodetic network. Because coupling rate on the Cascadia megathrust depends on the relative convergence rate between the Juan de Fuca and North American plates, the most valuable location for a single seafloor geodetic station is west of the Juan de Fuca trench, on the Juan de Fuca plate itself. Subsequent optimal locations are also identified offshore, on the hanging wall near the trench. This approach provides a quantitative assessment of the value of seafloor observations: a single offshore observation provides 30 times the information gain of an additional onshore observation, and adding many (>50) onshore observations cannot provide the

  5. Venezuela offshore oil and gas production development: Past, present and future

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Perez La Salvia, H.; Schwartz, E.; Contreras, M.

    1995-12-01

    This paper presents a short history of offshore oil and gas production in Venezuela starting in Lake Maracaibo in 1923. The main emphasis has been the results of the recent R and D and the exploratory offshore programs in areas like Orinoco Delta located in the Atlantic Ocean, Northeast and Northwest Venezuela in the Caribbean sea. In the R and D offshore program the main objectives were: (1) To establish the local environmental, oceanographical, geotechnical and seismicity conditions for the Venezuelan Continental Platform. (2) To give a technical support to the PDVSA Operating Affiliates during the exploratory programs including: (a)more » to develop accurate drilling vessel positioning systems; (b) evaluation of sea bottom geotechnical conditions for safely operating the jack-ups and drilling vessels involved in the exploratory wells and (c) to identify those areas which because of their special nature require further investigation to establish preliminary type of platforms required for the areas to be developed or to evaluate other solutions proposed by Foreign Consultant Engineering Companies to the PDVSA Operating Affiliated Companies. The main objective of PDVSA for the coming future will be to develop the North of Paria Gas Field through the initially named Christopher Columbus Project now Sucre Gas, S.A., a consortium conformed by LaGoven, S.A. Shell, Exxon and Mitsubishi. objective of this paper is to give an idea of the history of the Venezuelan Oil and Gas Offshore development giving emphasis to the results of the INTEVEP S.A. Red offshore program and to show some results of the particular characteristics of oceanographical, environmental, geotechnical and seismic conditions in the main areas evaluated during the exploratory program: Orinoco Delta, Gulf of Paria and North of Paria.« less

  6. Onshore and offshore geologic map of the Coal Oil Point area, southern California

    USGS Publications Warehouse

    Dartnell, Pete; Conrad, James E.; Stanley, Richard G.; Guy R. Cochrane, Guy R.

    2011-01-01

    Geologic maps that span the shoreline and include both onshore and offshore areas are potentially valuable tools that can lead to a more in depth understanding of coastal environments. Such maps can contribute to the understanding of shoreline change, geologic hazards, both offshore and along-shore sediment and pollutant transport. They are also useful in assessing geologic and biologic resources. Several intermediate-scale (1:100,000) geologic maps that include both onshore and offshore areas (herein called onshore-offshore geologic maps) have been produced of areas along the California coast (see Saucedo and others, 2003; Kennedy and others, 2007; Kennedy and Tan, 2008), but few large-scale (1:24,000) maps have been produced that can address local coastal issues. A cooperative project between Federal and State agencies and universities has produced an onshore-offshore geologic map at 1:24,000 scale of the Coal Oil Point area and part of the Santa Barbara Channel, southern California (fig. 1). As part of the project, the U.S. Geological Survey (USGS) and the California Geological Survey (CGS) hosted a workshop (May 2nd and 3rd, 2007) for producers and users of coastal map products (see list of participants) to develop a consensus on the content and format of onshore-offshore geologic maps (and accompanying GIS files) so that they have relevance for coastal-zone management. The USGS and CGS are working to develop coastal maps that combine geospatial information from offshore and onshore and serve as an important tool for addressing a broad range of coastal-zone management issues. The workshop was divided into sessions for presentations and discussion of bathymetry and topography, geology, and habitat products and needs of end users. During the workshop, participants reviewed existing maps and discussed their merits and shortcomings. This report addresses a number of items discussed in the workshop and details the onshore and offshore geologic map of the Coal Oil

  7. 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…

  8. 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...

  9. 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...

  10. 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...

  11. 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...

  12. Superconducting light generator for large offshore wind turbines

    NASA Astrophysics Data System (ADS)

    Sanz, S.; Arlaban, T.; Manzanas, R.; Tropeano, M.; Funke, R.; Kováč, P.; Yang, Y.; Neumann, H.; Mondesert, B.

    2014-05-01

    Offshore wind market demands higher power rate and reliable turbines in order to optimize capital and operational cost. These requests are difficult to overcome with conventional generator technologies due to a significant weight and cost increase with the scaling up. Thus superconducting materials appears as a prominent solution for wind generators, based on their capacity to held high current densities with very small losses, which permits to efficiently replace copper conductors mainly in the rotor field coils. However the state-of-the-art superconducting generator concepts still seem to be expensive and technically challenging for the marine environment. This paper describes a 10 MW class novel direct drive superconducting generator, based on MgB2 wires and a modular cryogen free cooling system, which has been specifically designed for the offshore wind industry needs.

  13. Improvements of the offshore earthquake locations in the Earthquake Early Warning System

    NASA Astrophysics Data System (ADS)

    Chen, Ta-Yi; Hsu, Hsin-Chih

    2017-04-01

    Since 2014 the Earthworm Based Earthquake Alarm Reporting (eBEAR) system has been operated and been used to issue warnings to schools. In 2015 the system started to provide warnings to the public in Taiwan via television and the cell phone. Online performance of the eBEAR system indicated that the average reporting times afforded by the system are approximately 15 and 28 s for inland and offshore earthquakes, respectively. The eBEAR system in average can provide more warning time than the current EEW system (3.2 s and 5.5 s for inland and offshore earthquakes, respectively). However, offshore earthquakes were usually located poorly because only P-wave arrivals were used in the eBEAR system. Additionally, in the early stage of the earthquake early warning system, only fewer stations are available. The poor station coverage may be a reason to answer why offshore earthquakes are difficult to locate accurately. In the Geiger's inversion procedure of earthquake location, we need to put an initial hypocenter and origin time into the location program. For the initial hypocenter, we defined some test locations on the offshore area instead of using the average of locations from triggered stations. We performed 20 programs concurrently running the Geiger's method with different pre-defined initial position to locate earthquakes. We assume that if the program with the pre-defined initial position is close to the true earthquake location, during the iteration procedure of the Geiger's method the processing time of this program should be less than others. The results show that using pre-defined locations for trial-hypocenter in the inversion procedure is able to improve the accurate of offshore earthquakes. Especially for EEW system, in the initial stage of the EEW system, only use 3 or 5 stations to locate earthquakes may lead to bad results because of poor station coverage. In this study, the pre-defined trial-locations provide a feasible way to improve the estimations of

  14. 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

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

    NASA Astrophysics Data System (ADS)

    Livermore, Luke

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

  16. Prospects for generating electricity by large onshore and offshore wind farms

    NASA Astrophysics Data System (ADS)

    Volker, Patrick J. H.; Hahmann, Andrea N.; Badger, Jake; Jørgensen, Hans E.

    2017-03-01

    The decarbonisation of energy sources requires additional investments in renewable technologies, including the installation of onshore and offshore wind farms. For wind energy to remain competitive, wind farms must continue to provide low-cost power even when covering larger areas. Inside very large wind farms, winds can decrease considerably from their free-stream values to a point where an equilibrium wind speed is reached. The magnitude of this equilibrium wind speed is primarily dependent on the balance between turbine drag force and the downward momentum influx from above the wind farm. We have simulated for neutral atmospheric conditions, the wind speed field inside different wind farms that range from small (25 km2) to very large (105 km2) in three regions with distinct wind speed and roughness conditions. Our results show that the power density of very large wind farms depends on the local free-stream wind speed, the surface characteristics, and the turbine density. In onshore regions with moderate winds the power density of very large wind farms reaches 1 W m-2, whereas in offshore regions with very strong winds it exceeds 3 W m-2. Despite a relatively low power density, onshore regions with moderate winds offer potential locations for very large wind farms. In offshore regions, clusters of smaller wind farms are generally preferable; under very strong winds also very large offshore wind farms become efficient.

  17. Advancing strategic environmental assessment in the offshore oil and gas sector: Lessons from Norway, Canada, and the United Kingdom

    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

  18. Offshore sand resources for coastal erosion control in Louisiana

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Ramsey, K.E.; Penland, S.; McBride, R.A.

    1990-09-01

    An inventory of existing geophysical data supplemented by more than 15,000 km of high-resolution seismic profiles and 400 vibracores collected cooperatively by the Louisiana Geological Survey and US Geological Survey since 1981 indicates that a wide range of aggregate minerals occurs on the continental shelf in a variety of depositional settings. The distribution of these deposits is controlled by the geometry of the preexisting fluvial and deltaic channel systems and the stratigraphic signature of the Holocene Transgression across these features. The geology of coastal and offshore Louisiana is tied to the depositional history of the Mississippi River. Offshore of themore » delta plain, five types of aggregate sources can be identified: inner shelf shoals, submerged barrier islands, tidal inlets, distributary channels, and barrier platforms. This paper describes the geology of offshore Louisiana, the available geophysical data sets, and the distribution of aggregate mineral resources. On the continental shelf of the Mississippi River delta plain, two extensive seismic survey grids have been developed by the Louisiana Geological Survey and US Geological Survey. The most prospective resources found are the huge sand bodies of Ship Shoal and associated distributaries, Cat Island Pass tidal channels and associated tidal deltas, and Barataria Pass/Grand Terre tidal channels and associated tidal deltas. East of the mouth of the Mississippi River are the Chandeleur Islands, where LGS identified seven major sand resource targets, truncated barrier-spit and tidal inlet deposits, submerged beach ridges, and distributaries associated with abandoned St. Bernard delta complexes. Abundant sand resources can be found in offshore Louisiana. Many of the sand bodies contain heavy minerals, but their concentration and distribution is unknown. Other potential sand resources not yet adequately explored include Sabine Bank, the Outer Shoal, and the St. Bernard shoal.« less

  19. The healthcare off-shoring industry in developing economies--institutional and economic foundations: an Indian case.

    PubMed

    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.

  20. A Spatial-Economic Cost-Reduction Pathway Analysis for U.S. Offshore Wind Energy Development from 2015-2030

    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

  1. Effects of Second-Order Hydrodynamics on a Semisubmersible Floating Offshore Wind Turbine: Preprint

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Bayati, I.; Jonkman, J.; Robertson, A.

    2014-07-01

    The objective of this paper is to assess the second-order hydrodynamic effects on a semisubmersible floating offshore wind turbine. Second-order hydrodynamics induce loads and motions at the sum- and difference-frequencies of the incident waves. These effects have often been ignored in offshore wind analysis, under the assumption that they are significantly smaller than first-order effects. The sum- and difference-frequency loads can, however, excite eigenfrequencies of the system, leading to large oscillations that strain the mooring system or vibrations that cause fatigue damage to the structure. Observations of supposed second-order responses in wave-tank tests performed by the DeepCwind consortium at themore » MARIN offshore basin suggest that these effects might be more important than originally expected. These observations inspired interest in investigating how second-order excitation affects floating offshore wind turbines and whether second-order hydrodynamics should be included in offshore wind simulation tools like FAST in the future. In this work, the effects of second-order hydrodynamics on a floating semisubmersible offshore wind turbine are investigated. Because FAST is currently unable to account for second-order effects, a method to assess these effects was applied in which linearized properties of the floating wind system derived from FAST (including the 6x6 mass and stiffness matrices) are used by WAMIT to solve the first- and second-order hydrodynamics problems in the frequency domain. The method has been applied to the OC4-DeepCwind semisubmersible platform, supporting the NREL 5-MW baseline wind turbine. The loads and response of the system due to the second-order hydrodynamics are analysed and compared to first-order hydrodynamic loads and induced motions in the frequency domain. Further, the second-order loads and induced response data are compared to the loads and motions induced by aerodynamic loading as solved by FAST.« less

  2. SEASAT economic assessment. Volume 3: Offshore oil and natural gas industry case study and generalization

    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.

  3. Idealized WRF model sensitivity simulations of sea breeze types and their effects on offshore windfields

    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.

  4. Idealized WRF model sensitivity simulations of sea breeze types and their effects on offshore windfields

    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

  5. Work-leave rotation pattern and incidence of offshore workplace injury.

    PubMed

    Massey, S

    2018-05-17

    Studies on work-leave rotation pattern and work place injuries among offshore oil and gas workers have been few and limited to a 2- or 3-week rotation schedule. To examine incidence of workplace injury in relation to the duration of time into work rotation for extended work schedules up to 24 weeks. Six-year injury data on four offshore installations were extracted. Data were analysed for incidence of injury over time and relative risk using linear trend lines and regression. In total, 311 injuries for 1302 workers were analysed, 39% with rotation schedule of 4 weeks work and 4 weeks rest, 27% 8 weeks work and 4 weeks rest, 23% 16 weeks work and 4 weeks rest and 10% 24 weeks work and 4 weeks rest. Incidence of injury decreased as duration of time into the work rotation increased, corrected for exposure, and this was statistically significant for all rotations in first 4 weeks (P < 0.01). Negative correlation between time offshore and injury was observed in all schedules and consistent for age groups, categories of work, shifts and severity of injury. There was no difference in relative risk of injuries between the four schedules, when corrected for exposure and occupational risk of injury. These results are at variance with previous studies, although no prior study has looked beyond 3-week rotation schedule. Longer offshore schedules are safely possible and this could help decrease manpower and logistics costs for oil and gas companies coping with unprecedented low oil prices.

  6. Influence of wave modelling on the prediction of fatigue for offshore wind turbines

    NASA Astrophysics Data System (ADS)

    Veldkamp, H. F.; van der Tempel, J.

    2005-01-01

    Currently it is standard practice to use Airy linear wave theory combined with Morison's formula for the calculation of fatigue loads for offshore wind turbines. However, offshore wind turbines are typically placed in relatively shallow water depths of 5-25 m where linear wave theory has limited accuracy and where ideally waves generated with the Navier-Stokes approach should be used. This article examines the differences in fatigue for some representative offshore wind turbines that are found if first-order, second-order and fully non-linear waves are used. The offshore wind turbines near Blyth are located in an area where non-linear wave effects are common. Measurements of these waves from the OWTES project are used to compare the different wave models with the real world in spectral form. Some attention is paid to whether the shape of a higher-order wave height spectrum (modified JONSWAP) corresponds to reality for other places in the North Sea, and which values for the drag and inertia coefficients should be used. Copyright

  7. Nighttime approaches to offshore installations in Brazil: Safety shortcomings experienced by helicopter pilots.

    PubMed

    Nascimento, Felipe A C; Majumdar, Arnab; Jarvis, Steve

    2012-07-01

    Accident rates for night sorties by helicopters traveling to offshore oil and gas platforms are at least five times higher than those during the daytime. Because pilots need to transition from automated flight to a manually flown night visual segment during arrival, the approach and landing phases cause great concern. Despite this, in Brazil, regulatory changes have been sought to allow for the execution of offshore night flights because of the rapid expansion of the petroleum industry. This study explores the factors that affect safety during night visual segments in Brazil using 28 semi-structured interviews with offshore helicopter pilots, followed by a template analysis of the narratives. The relationships among the factors suggest that flawed safety oversights, caused by a combination of lack of infrastructure for night flights offshore and declining training, currently favor spatial disorientation on the approach and near misses when close to the destination. Safety initiatives can be derived on the basis of these results. Copyright © 2012 Elsevier Ltd. All rights reserved.

  8. Satellite data lift the veil on offshore platforms in the South China Sea

    NASA Astrophysics Data System (ADS)

    Liu, Yongxue; Sun, Chao; Sun, Jiaqi; Li, Hongyi; Zhan, Wenfeng; Yang, Yuhao; Zhang, Siyu

    2016-09-01

    Oil and gas exploration in the South China Sea (SCS) has garnered global attention recently; however, uncertainty regarding the accurate number of offshore platforms in the SCS, let alone their detailed spatial distribution and dynamic change, may lead to significant misjudgment of the true status of offshore hydrocarbon production in the region. Using both fresh and archived space-borne images with multiple resolutions, we enumerated the number, distribution, and annual rate of increase of offshore platforms across the SCS. Our results show that: (1) a total of 1082 platforms are present in the SCS, mainly located in shallow-water; and (2) offshore oil/gas exploitation in the SCS is increasing in intensity and advancing from shallow to deep water, and even to ultra-deep-water. Nevertheless, our findings suggest that oil and gas exploration in the SCS may have been over-estimated by one-third in previous reports. However, this overestimation does not imply any amelioration of the potential for future maritime disputes, since the rate of increase of platforms in disputed waters is twice that in undisputed waters.

  9. Satellite data lift the veil on offshore platforms in the South China Sea

    PubMed Central

    Liu, Yongxue; Sun, Chao; Sun, Jiaqi; Li, Hongyi; Zhan, Wenfeng; Yang, Yuhao; Zhang, Siyu

    2016-01-01

    Oil and gas exploration in the South China Sea (SCS) has garnered global attention recently; however, uncertainty regarding the accurate number of offshore platforms in the SCS, let alone their detailed spatial distribution and dynamic change, may lead to significant misjudgment of the true status of offshore hydrocarbon production in the region. Using both fresh and archived space-borne images with multiple resolutions, we enumerated the number, distribution, and annual rate of increase of offshore platforms across the SCS. Our results show that: (1) a total of 1082 platforms are present in the SCS, mainly located in shallow-water; and (2) offshore oil/gas exploitation in the SCS is increasing in intensity and advancing from shallow to deep water, and even to ultra-deep-water. Nevertheless, our findings suggest that oil and gas exploration in the SCS may have been over-estimated by one-third in previous reports. However, this overestimation does not imply any amelioration of the potential for future maritime disputes, since the rate of increase of platforms in disputed waters is twice that in undisputed waters. PMID:27641542

  10. “Open Hatch” Tour of Offshore Wind Buoy

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Zayas, Jose

    2015-09-18

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

  11. Development of an Extratropical Storm Wind, Wave, and Water Level Climatology for the Offshore Mid-Atlantic

    DTIC Science & Technology

    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

  12. 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.)

  13. Climate and Offshore Energy Resources.

    DTIC Science & Technology

    1980-12-30

    SECuRITY CL.ASSIPIcaTIoN OF, TIns PA@elm VaeVa CLMATE ANID OFFSHORE ENERGY RESOUACES A distinguished group of government officials, scientists, engineers...about the mech- anisms of climatic systems, and gaining a better understanding of the impact of climatic change on human resources.* He continued by...atmospheric constit- uents, but he particularly emphasized " changes " in C02. He suggested that the atmospheric conditions may be better now than they were half

  14. 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

  15. Jobs and Economic Development Impact (JEDI) Model: Offshore Wind User Reference Guide

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Lantz, E.; Goldberg, M.; Keyser, D.

    2013-06-01

    The Offshore Wind Jobs and Economic Development Impact (JEDI) model, developed by NREL and MRG & Associates, is a spreadsheet based input-output tool. JEDI is meant to be a user friendly and transparent tool to estimate potential economic impacts supported by the development and operation of offshore wind projects. This guide describes how to use the model as well as technical information such as methodology, limitations, and data sources.

  16. Characterization of a Mud Deposit Offshore of the Patos Lagoon, Southern Brazil

    DTIC Science & Technology

    2009-02-01

    Journal Article 3. DATES COVERED (From - To) 4. TITLE AND SUBTITLE Characterization of mud deposit offshore of the Patos lagoon, southern Brazil 5a...deposition of mud on the beach along the shoreface of Rio Grande do Sul, Brazil dramatically influences the normal operations in the littoral zone...Continental Shelf Research journal homepage: www.elsevier.com/locate/csr Characterization of a mud deposit offshore of the Patos Lagoon, southern Brazil

  17. Motion performance and mooring system of a floating offshore wind turbine

    NASA Astrophysics Data System (ADS)

    Zhao, Jing; Zhang, Liang; Wu, Haitao

    2012-09-01

    The development of offshore wind farms was originally carried out in shallow water areas with fixed (seabed mounted) structures. However, countries with limited shallow water areas require innovative floating platforms to deploy wind turbines offshore in order to harness wind energy to generate electricity in deep seas. The performances of motion and mooring system dynamics are vital to designing a cost effective and durable floating platform. This paper describes a numerical model to simulate dynamic behavior of a new semi-submersible type floating offshore wind turbine (FOWT) system. The wind turbine was modeled as a wind block with a certain thrust coefficient, and the hydrodynamics and mooring system dynamics of the platform were calculated by SESAM software. The effect of change in environmental conditions on the dynamic response of the system under wave and wind loading was examined. The results indicate that the semi-submersible concept has excellent performance and SESAM could be an effective tool for floating wind turbine design and analysis.

  18. A Spatial-Economic Cost-Reduction Pathway Analysis for U.S. Offshore Wind Energy Development from 2015–2030

    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

  19. Variability in body size and shape of UK offshore workers: A cluster analysis approach.

    PubMed

    Stewart, Arthur; Ledingham, Robert; Williams, Hector

    2017-01-01

    Male UK offshore workers have enlarged dimensions compared with UK norms and knowledge of specific sizes and shapes typifying their physiques will assist a range of functions related to health and ergonomics. A representative sample of the UK offshore workforce (n = 588) underwent 3D photonic scanning, from which 19 extracted dimensional measures were used in k-means cluster analysis to characterise physique groups. Of the 11 resulting clusters four somatotype groups were expressed: one cluster was muscular and lean, four had greater muscularity than adiposity, three had equal adiposity and muscularity and three had greater adiposity than muscularity. Some clusters appeared constitutionally similar to others, differing only in absolute size. These cluster centroids represent an evidence-base for future designs in apparel and other applications where body size and proportions affect functional performance. They also constitute phenotypic evidence providing insight into the 'offshore culture' which may underpin the enlarged dimensions of offshore workers. Copyright © 2016 Elsevier Ltd. All rights reserved.

  20. Feasible application of offshore wind turbines in Labuan Island, Sabah for energy complementary

    NASA Astrophysics Data System (ADS)

    Salleh, Nur Farahin; Chew, Boon Cheong; Hamid, Syaiful Rizal

    2017-03-01

    Nowadays, the world energy requirements are increasing at an alarming rate and the power demand is running ahead of supply. It is widely recognized that the fossil fuels such as coal, petroleum and natural gas are presently being used for electricity generation. Therefore, in future it may not be sufficient to keep pace with ever increasing demand of the electrical energy of the world. The renewable energy can provide clean sources of energy which is reliable and secure to society. This paper analyzed renewable energy adoption, focusing on offshore wind turbines. In this case study, Labuan, Sabah has been selected and suggested as the location to install the offshore wind turbines because of geographical advantage of the South China Sea. The technology is expected to provide great power energy with least environment impact and high sustainability as it is located within the windy area with no terrain features, buildings or other obstruction. This study used qualitative methods for both data collection and data analysis. This study proved the feasible application of offshore wind turbines in the South China Sea, Sabah produced the complementary energy to fossil fuels. Hence, the offshore wind turbines might become one of main energy sources in Sabah. The application of the offshore wind turbines to Sabah residential area develops a lot of benefit and support Malaysian government goal which is to be more competitive in renewable energy generation while sustaining national economic growth.

  1. Turbodrilling performance offshore Qatar

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Rana, L.A.; Abdulrahman, E.A.

    Until the first quarter of 1979 Qatar General Petroleum Corporation Offshore routinely rotary drilled its vertical development wells using tricone bits. Turbodrilling the 17 1/2'' and 8 1/2'' hole sections was introduced in the second quarter of 1979 followed by the 12 1/4'' hole section in the first qarter of 1980. This resulted in avoiding/minimising downhole problems and the elimination of 7'' and 4 1/2'' liners. As a result of introducing these practices a 50 percent time saving and a 30 percent cost saving has been achieved, equivalent to $550,000/well.

  2. Geochemical and palaeoenvironmental characteristics of Missole I iron duricrusts of the Douala sub-basin (Western Cameroon)

    NASA Astrophysics Data System (ADS)

    Ngon Ngon, Gilbert François; Etame, Jacques; Ntamak-Nida, Marie Joseph; Mbesse, Cécile Olive; Mbai, Joël Simon; Bayiga, Élie Constantin; Gerard, Martine

    2016-02-01

    Major and trace element composition of iron duricrusts including clayey material samples and biostratigraphy of the Missole I outcrop from the Paleocene-Eocene N'Kapa Formation in the Douala sub-basin of Cameroon were used to infer the palaeoenvironment and relative age of the iron duricrusts. Iron duricrusts and clayey materials are essentially kaolinitic and smectitic and are generally siliceous and ferruginous (iron duricrusts) or siliceous and aluminous (clayey materials). These materials have high Chemical Indices of Alteration (CIA = 86.6-99.33%). The negative Eu anomalies with high (La/Yb)N shown by iron duricrusts and clayey sediments are essentially derived from silicic or felsic parent rocks when fractionated chondrite-normalized REE patterns also indicate felsic or silicic parent rocks. The Missole I iron duricrusts have a post-Thanetian age according to the relative age of claystones (Thanetian) and were formed after the deposition of sedimentary materials in an anoxic low-depth marine environment with eutrophication of surface water, and may have been exhumed and oxidized under arid climate.

  3. Umatilla River Subbasin Fish Habitat Improvement Program, 1996-2003 Summary Report.

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    St. Hilaire, Danny R.; Montgomery, Michael; Bailey, Timothy D.

    This annual report is in fulfillment of contractual obligations with Bonneville Power Administration (BPA), which is the funding source for the Oregon Department of Fish and Wildlife's (ODFW), Umatilla River Subbasin Fish Habitat Improvement Program (Program). The last Annual Program Report was submitted in 1997, and described projects undertaken in 1995. This report describes Program activities carried out in 2003, along with a summary of projects undertaken during the years 1996 through 2002. The Program works cooperatively with private landowners to develop long-term restoration agreements, under which, passive and active Habitat Improvement Projects are conducted. Historically, projects have included livestockmore » exclusion fencing (passive restoration) to protect riparian habitats, along with the installation of instream structures (active restoration) to address erosion and improve fish habitat. In recent years, the focus of active restoration has shifted to bioengineering treatments and, more recently, to channel re-design and re-construction aimed at improving fish habitat, by restoring stable channel function. This report provides a summary table of past projects (1996-2002), along with a text description of more extensive habitat improvement projects, including: (1) Implementation of a four-phased project on the Lobato property (Birch Creek) beginning in 1996 and involving a demonstration bioengineering site and riparian improvements (fencing, planting), (2) Implementation of stable channel design/instream structure placement on the Houser property, East Birch Creek, beginning in 1998, an (3) Implementation of a joint, US Army Corps of Engineers/ODFW (cost share) project beginning in 2001 on the Brogoitti property, East Birch Creek, which involved implementation of stable channel design/construction and riparian improvement treatments.« less

  4. Hybridization following population collapse in a critically endangered antelope

    PubMed Central

    Vaz Pinto, Pedro; Beja, Pedro; Ferrand, Nuno; Godinho, Raquel

    2016-01-01

    Population declines may promote interspecific hybridization due to the shortage of conspecific mates (Hubb’s ‘desperation’ hypothesis), thus greatly increasing the risk of species extinction. Yet, confirming this process in the wild has proved elusive. Here we combine camera-trapping and molecular surveys over seven years to document demographic processes associated with introgressive hybridization between the critically endangered giant sable antelope (Hippotragus niger variani), and the naturally sympatric roan antelope (H. equinus). Hybrids with intermediate phenotypes, including backcrosses with roan, were confirmed in one of the two remnant giant sable populations. Hybridization followed population depletion of both species due to severe wartime poaching. In the absence of mature sable males, a mixed herd of sable females and hybrids formed and grew progressively over time. To prevent further hybridization and recover this small population, all sable females were confined to a large enclosure, to which sables from the other remnant population were translocated. Given the large scale declines in many animal populations, hybridization and introgression associated with the scarcity of conspecific mates may be an increasing cause of biodiversity conservation concern. In these circumstances, the early detection of hybrids should be a priority in the conservation management of small populations. PMID:26732144

  5. 77 FR 62247 - Dynamic Positioning Operations Guidance for Vessels Other Than Mobile Offshore Drilling Units...

    Federal Register 2010, 2011, 2012, 2013, 2014

    2012-10-12

    ... 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...

  6. The AOU Conservation Committee Review of the biology, status, and management of Cape Sable Seaside Sparrows: Final Report

    USGS Publications Warehouse

    Walters, J.R.; Beissenger, S.R.; Fitzpatrick, J.W.; Greenberg, R.; Nichols, J.D.; Pulliam, H.R.; Winkler, D.W.

    2000-01-01

    The Cape Sable Seaside Sparrow (Ammodramus maritimus mirabilis) was listed as an original member of the federal list of endangered species in 1968. It is restricted to seasonally flooded prairies of extreme southern Florida and is disjunct from all other conspecific breeding populations (Kushlan et al 1982, McDonald 1988). Since the subspecies was described in 1919, its populations have been discovered and rediscovered, often only to disappear or decline to a handful of individuals (Werner and Woolfenden 1983, Kushlan and Bass 1983). Although the sparrow historically is known from six distinct areas, at present only two of these areas support populations numbering in the hundreds or low thousands of individuals.Debates swirl around the status of these remnant populations. The main controversy encompasses whether the sparrow, now largely restricted to Everglades National Park, is in jeopardy of global extinction and if so, what actions must be taken to prevent this from happening. In November 1998, a panel of scientists was assembled under the auspices of the Conservation Committee of the American Ornithologists' Union (AOU) to evaluate the scientific evidence relevant to this controversy. The Panel was charged with scrutinizing the evidence for the existence and probable causes of global population decline in this subspecies, evaluating proposed management actions, and suggesting further research necessary to manage the remaining populations to maximize their chances of long-term persistence.This document presents the conclusions of the Panel, which are based on our reading of the peer-reviewed and “gray” literature, interactions during a workshop held 9 to 11 February 1999 at Florida International University in Miami with researchers investigating the sparrow's biology, and site visits associated with the workshop. In addition, researchers provided the Panel with position papers summarizing their findings and conclusions prior to the workshop and provided

  7. English-Spanish glossary: offshore exploration and production, gas processing, and valves (in Spanish)

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Not Available

    1981-12-01

    This series of articles contains 3 different English-Spanish glossaries of related terms used in the oil industry. The glossary of the offshore exploration and production involves a summary of terms used in the offshore oil activity. It also includes names of singular equipment used in offshore drilling, as well as several navigation terms in relation to the floating oil structures. With the help of the Gas Processors Association it was possible to compile a glossary of gas processing with a concise selection of common terms of the industry of gas processing. The glossary of valves includes more than 200 termsmore » of the industry of valves in a specialized glossary, and several explanations about the application and operation of valves.« less

  8. Potential Economic Impacts from Offshore Wind in the Gulf of Mexico Region (Fact Sheet)

    DOE Office of Scientific and Technical Information (OSTI.GOV)

    Flores, F.; Keyser, D.; Tegen, S.

    2014-01-01

    Offshore wind is a clean, renewable source of energy and can be an economic driver in the United States. To better understand the employment opportunities and other potential regional economic impacts from offshore wind development, the U.S. Department of Energy (DOE) funded research that focuses on four regions of the country. The studies use multiple scenarios with various local job and domestic manufacturing content assumptions. Each regional study uses the new offshore wind Jobs and Economic Development Impacts (JEDI) model, developed by the National Renewable Energy Laboratory. This fact sheet summarizes the potential economic impacts for the Gulf of Mexicomore » region.« less

  9. Impacts of a large array of offshore wind farms on precipitation during hurricane Harvey

    NASA Astrophysics Data System (ADS)

    Pan, Y.; Archer, C. L.

    2017-12-01

    Hurricane Harvey brought to the Texas coast possibly the heaviest rain ever recorded in U.S. history, which then caused flooding at unprecedented levels. Previous studies have shown that large arrays of offshore wind farms can extract kinetic energy from a hurricane and thus reduce the wind and storm surge. This study will quantitatively test weather the offshore turbines may also affect precipitation patterns. The Weather Research Forecast model is employed to model Harvey and the offshore wind farms are parameterized as elevated drag and turbulence kinetic energy sources. The turbines (7.8 MW Enercon-126 with rotor diameter D=127 m) are placed along the coast of Texas and Louisiana within 100 km from the shore, where the water depth is below 200 meters. Three spacing between turbines are considered (with the number of turbines in parenthesis): 7D×7D (149,936), 9D×9D (84,339), and 11D×11D (56,226). A fourth case (9D×9D) with a smaller area and thus less turbines (33,363) is added to the simulations to emphasize the impacts of offshore turbines installed specifically to protect the city of Houston, which was flooded heavily during hurricane Harvey. The model is integrated for 24 hours from 00UTC Aug 26th, 2017 to 00UTC Aug 27th, 2017. Model results indicate that the offshore wind farms have a strong impact on the distribution of 24-hour accumulated precipitation, with an obvious decrease onshore, downstream of the wind farms, and an increase in the offshore areas, upstream of or within the wind farms. A sector covering the metro-Houston area is chosen to study the sensitivity of the four different wind farm layouts. The spatial-average 24-hour accumulated precipitation is decreased by 37%, 28%, 20% and 25% respectively for the four cases. Compared with the control case with no wind turbines, increased horizontal wind divergence and lower vertical velocity are found where the precipitation is reduced onshore, whereas increased horizontal wind convergence and

  10. The Tectonic Boundary Between Eastern Subbaisin and South-West Subbasin of the South China Sea Revealed from the Normalized Magnetic Source Strength

    NASA Astrophysics Data System (ADS)

    Guo, L.; Meng, X.

    2014-12-01

    The South China Sea (SCS), surrounded by the Eurasia, Pacific and India-Australia plates, is one of the largest marginal seas in the Western Pacific. It was formed by the interaction of the three plates and the seafloor spreading during Late Oligocene time to Early Miocene time. The boundary between Eastern Subbaisin and South-west Subbasin of the SCS has long been debated in the literature. Refining the boundary is one of the crucial tasks for correctly understanding the seafloor spreading model of the SCS. Due to few drills on the deep ocean basin of the SCS, magnetic data become important information for refining the boundary. However, the interpretation of magnetic data in the SCS suffers from the remanent magnetization of ocean crust as well as igneous rock and seamounts. The conventional reduction-to-pole anomalies at low latitudes usually neglect the remanent magnetization, making the interpretation incorrect. Here, we assembled high-resolution total magnetic intensity (TMI) data around the ocean basin of the SCS, and then did a special transformation of the TMI anomalies with a varying magnetic inclinations algorithm to obtain the normalized source strength (NSS). The NSS has advantage of insensitivity to remanent magnetization, benefitting correct interpretation. The NSS presents discriminative features from east to west in the ocean basin. The boundary of the discriminative features is clear and just ranges from the northeastern edge of the Zhongsha Islands running in the southeast direction to the northeastern edge of the Reed Bank. These imply that magnetic structure and tectonic features in the crust are discriminative between both sides of this boundary. It can be deduced that this boundary is the tectonic boundary between Eastern Subbaisin and South-west Subbasin. We acknowledge the financial support of the National Natural Science Foundation of China (41374093) and the SinoProbe-01-05 project.

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

    PubMed

    Robb, N

    1998-09-08

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

  12. The Sorong Fault Zone, Indonesia: Mapping a Fault Zone Offshore

    NASA Astrophysics Data System (ADS)

    Melia, S.; Hall, R.

    2017-12-01

    The Sorong Fault Zone is a left-lateral strike-slip fault zone in eastern Indonesia, extending westwards from the Bird's Head peninsula of West Papua towards Sulawesi. It is the result of interactions between the Pacific, Caroline, Philippine Sea, and Australian Plates and much of it is offshore. Previous research on the fault zone has been limited by the low resolution of available data offshore, leading to debates over the extent, location, and timing of movements, and the tectonic evolution of eastern Indonesia. Different studies have shown it north of the Sula Islands, truncated south of Halmahera, continuing to Sulawesi, or splaying into a horsetail fan of smaller faults. Recently acquired high resolution multibeam bathymetry of the seafloor (with a resolution of 15-25 meters), and 2D seismic lines, provide the opportunity to trace the fault offshore. The position of different strands can be identified. On land, SRTM topography shows that in the northern Bird's Head the fault zone is characterised by closely spaced E-W trending faults. NW of the Bird's Head offshore there is a fold and thrust belt which terminates some strands. To the west of the Bird's Head offshore the fault zone diverges into multiple strands trending ENE-WSW. Regions of Riedel shearing are evident west of the Bird's Head, indicating sinistral strike-slip motion. Further west, the ENE-WSW trending faults turn to an E-W trend and there are at least three fault zones situated immediately south of Halmahera, north of the Sula Islands, and between the islands of Sanana and Mangole where the fault system terminates in horsetail strands. South of the Sula islands some former normal faults at the continent-ocean boundary with the North Banda Sea are being reactivated as strike-slip faults. The fault zone does not currently reach Sulawesi. The new fault map differs from previous interpretations concerning the location, age and significance of different parts of the Sorong Fault Zone. Kinematic

  13. 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...

  14. 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...

  15. 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...

  16. 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...

  17. Supporting Off-Shore Students: A Preliminary Study

    ERIC Educational Resources Information Center

    Hussin, Virginia

    2007-01-01

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

  18. Assessing vulnerability of marine bird populations to offshore wind farms.

    PubMed

    Furness, Robert W; Wade, Helen M; Masden, Elizabeth A

    2013-04-15

    Offshore wind farms may affect bird populations through collision mortality and displacement. Given the pressures to develop offshore wind farms, there is an urgent need to assess population-level impacts on protected marine birds. Here we refine an approach to assess aspects of their ecology that influence population vulnerability to wind farm impacts, also taking into account the conservation importance of each species. Flight height appears to be a key factor influencing collision mortality risk but improved data on flight heights of marine birds are needed. Collision index calculations identify populations of gulls, white-tailed eagles, northern gannets and skuas as of particularly high concern in Scottish waters. Displacement index calculations identify populations of divers and common scoters as most vulnerable to population-level impacts of displacement, but these are likely to be less evident than impacts of collision mortality. The collision and displacement indices developed here for Scottish marine bird populations could be applied to populations elsewhere, and this approach will help in identifying likely impacts of future offshore wind farms on marine birds and prioritising monitoring programmes, at least until data on macro-avoidance rates become available. Copyright © 2013 Elsevier Ltd. All rights reserved.

  19. The importance of ships and spare parts in LCAs of offshore wind power.

    PubMed

    Arvesen, Anders; Birkeland, Christine; Hertwich, Edgar G

    2013-03-19

    We develop and assess life cycle inventories of a conceptual offshore wind farm using a hybrid life cycle assessment (LCA) methodology. Special emphasis is placed on aspects of installation, operation, and maintenance, as these stages have been given only cursory consideration in previous LCAs. The results indicate that previous studies have underestimated the impacts caused by offshore operations and (though less important) exchange of parts. Offshore installation and maintenance activities cause 28% (10 g CO(2)-Eq/kWh) of total greenhouse gas emissions and 31-45% of total impact indicator values at the most (marine eutrophication, acidification, particulates, photochemical ozone). Transport and dumping of rock in installation phase and maintenance of wind turbines in use phase are major contributory activities. Manufacturing of spare parts is responsible for 6% (2 g CO2-Eq/kWh) of greenhouse gas emissions and up to 13% of total impact indicator values (freshwater ecotoxicity). Assumptions on lifetimes, work times for offshore activities and implementation of NOx abatement on vessels are shown to have a significant influence on results. Another source of uncertainty is assumed operating mode data for vessels determining fuel consumption rates.

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

    NASA Astrophysics Data System (ADS)

    Ziegler, Lisa; Muskulus, Michael

    2016-09-01

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