Sample records for variable speed offshore

  1. Definition of a 5-MW Reference Wind Turbine for Offshore System Development

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

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

    2009-02-01

    This report describes a three-bladed, upwind, variable-speed, variable blade-pitch-to-feather-controlled multimegawatt wind turbine model developed by NREL to support concept studies aimed at assessing offshore wind technology.

  2. On the predominance of unstable atmospheric conditions in the marine boundary layer offshore of the U.S. northeastern coast

    DOE PAGES

    Archer, Cristina L.; Colle, Brian A.; Veron, Dana L.; ...

    2016-07-18

    The marine boundary layer of the northeastern U.S. is studied with focus on wind speed, atmospheric stability, and turbulent kinetic energy (TKE), the three most relevant properties in the context of offshore wind power development. Two long-term observational data sets are analyzed. The first one consists of multilevel meteorological variables measured up to 60 m during 2003–2011 at the offshore Cape Wind tower, located near the center of the Nantucket Sound. The second data set comes from the 2013–2014 IMPOWR campaign (Improving the Modeling and Prediction of Offshore Wind Resources), in which wind and wave data were collected with newmore » instruments on the Cape Wind platform, in addition to meteorological data measured during 19 flight missions offshore of New York, Connecticut, Rhode Island, and Massachusetts. It is found that, in this region: (1) the offshore wind resource is remarkable, with monthly average wind speeds at 60 m exceeding 7 m s -1 all year round, highest winds in winter (10.1 m s -1) and lowest in summer (7.1 m s -1), and a distinct diurnal modulation, especially in summer; (2) the marine boundary layer is predominantly unstable (61% unstable vs. 21% neutral vs. 18% stable), meaning that mixing is strong, heat fluxes are positive, and the wind speed profile is often nonlogarithmic (~40% of the time); and (3) the shape of the wind speed profile (log versus nonlog) is an effective qualitative proxy for atmospheric stability, whereas TKE alone is not.« less

  3. On the predominance of unstable atmospheric conditions in the marine boundary layer offshore of the U.S. northeastern coast

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

    Archer, Cristina L.; Colle, Brian A.; Veron, Dana L.

    The marine boundary layer of the northeastern U.S. is studied with focus on wind speed, atmospheric stability, and turbulent kinetic energy (TKE), the three most relevant properties in the context of offshore wind power development. Two long-term observational data sets are analyzed. The first one consists of multilevel meteorological variables measured up to 60 m during 2003–2011 at the offshore Cape Wind tower, located near the center of the Nantucket Sound. The second data set comes from the 2013–2014 IMPOWR campaign (Improving the Modeling and Prediction of Offshore Wind Resources), in which wind and wave data were collected with newmore » instruments on the Cape Wind platform, in addition to meteorological data measured during 19 flight missions offshore of New York, Connecticut, Rhode Island, and Massachusetts. It is found that, in this region: (1) the offshore wind resource is remarkable, with monthly average wind speeds at 60 m exceeding 7 m s -1 all year round, highest winds in winter (10.1 m s -1) and lowest in summer (7.1 m s -1), and a distinct diurnal modulation, especially in summer; (2) the marine boundary layer is predominantly unstable (61% unstable vs. 21% neutral vs. 18% stable), meaning that mixing is strong, heat fluxes are positive, and the wind speed profile is often nonlogarithmic (~40% of the time); and (3) the shape of the wind speed profile (log versus nonlog) is an effective qualitative proxy for atmospheric stability, whereas TKE alone is not.« less

  4. 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.

  5. 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.

  6. Preliminary assessment of the variability of UK offshore wind speed as a function of distance to the coast

    NASA Astrophysics Data System (ADS)

    Soler-Bientz, Rolando; Watson, Simon

    2016-09-01

    In the UK, there is an interest in the expected offshore wind resource given ambitious national plans to expand offshore capacity. There is also an increasing interest in alternative datasets to evaluate wind seasonal and inter-annual cycles which can be very useful in the initial stages of the design of wind farms in order to identify prospective areas where local measurements can then be applied to determine small-scale variations in the marine wind climate. In this paper we analyse both MERRA2 reanalysis data and measured offshore mast data to determine patterns in wind speed variation and how they change as a function of the distance from the coast. We also identify an empirical expression to estimate wind speed based on the distance from the coast. From the analysis, it was found that the variations of the seasonal cycles seem to be almost independent of the distance to the nearest shore and that they are an order of magnitude larger than the variations of the diurnal cycles. It was concluded that the diurnal variations decreased to less than a half for places located more than 100km from the nearest shore and that the data from the MERRA2 reanalysis grid points give an under-prediction of the average values of wind speed for both the diurnal and seasonal cycles. Finally, even though the two offshore masts were almost the same nearest distance from the coast and were geographically relatively close, they exhibited significantly different behaviour in terms of the strength of their diurnal and seasonal cycles which may be due to the distance from the coast for the prevailing wind direction being quite different for the two sites.

  7. Variability of Wind Speeds and Power over Europe

    NASA Astrophysics Data System (ADS)

    Tambke, J.; von Bremen, L.; de Decker, J.; Schmidt, M.; Steinfeld, G.; Wolff, J.-O.

    2010-09-01

    This study comprises two parts: First, we describe the vertical wind speed and turbulence profiles that result from our improved PBL scheme and compare it to observations and 1-dimensional approaches (Monin-Obukhov etc.). Second, we analyse the spatio-temporal correlations in our meso-scale simulations for the years 2004 to 2007 over entire Europe, with special focus on the Irish, North and Baltic Sea. 1.) Vertical Wind Speed Profiles The vertical wind profile above the sea has to be modelled with high accuracy for tip heights up to 160m in order to achieve precise wind resource assessments, to calculate loads and wakes of wind turbines as well as for reliable short-term wind power forecasts. We present an assessment of different models for wind profiles in unstable, neutral and stable thermal stratification. The meso-scale models comprise MM5, WRF and COSMO-EU (LME). Both COSMO-EU from the German Weather Service DWD and WRF use a turbulence closure of 2.5th order - and lead to similar results. Especially the limiting effect of low boundary layer heights on the wind shear in very stable stratification is well captured. In our new WRF-formulation for the mixing length in the Mellor-Yamada-Janjic (MYJ) parameterisation of the Planetary Boundary Layer (PBL-scheme), the master length scale itself depends on the Monin-Obukhov-Length as a parameter for the heat flux effects on the turbulent mixing. This new PBL-scheme shows a better performance for all weather conditions than the original MYJ-scheme. Apart from the low-boundary-layer-effect in very stable situations (which are seldom), standard Monin-Obukhov formulations in combination with the Charnock relation for the sea surface roughness show good agreement with the FINO1-data (German Bight). Interesting results were achieved with two more detailed micro-scale approaches: - the parameterization proposed by Pena, Gryning and Hasager [BLM 2008] that depends on the boundary layer height - our ICWP-model, were the flux of momentum through the air-sea interface is described by a common wave boundary layer with enhanced Charnock dynamics. 2.) Wind Field Variability Time series of wind speed and power from 400 potential offshore locations and 16,000 onshore sites in the 2020 and 2030 scenarios are part of the design basis of the EU-project www.OffshoreGrid.eu. This project investigates the grid integration of all planned offshore farms in Northern Europe and will serve as the basis for the "Blueprint for Offshore Grids" by the European Commission. The synchronous wind time series were calculated with the WRF-model. The simulation comprises four years and was validated with a number of wind measurements. We present detailed statistics of local, clustered and regional power production. The analysis quantifies spatial and temporal correlations, extreme events and ramps. Important results are the smoothing effects in a pan-European offshore grid. Key words: Offshore Wind Resource Assessment; Marine Meteorology; Wind Speed Profile; Marine Atmospheric Boundary Layer; Wind Variability, Spatio-temporal Correlation; Electricity Grid Integration

  8. 78 FR 28164 - Special Local Regulation; Aguada Offshore Grand Prix, Bahia de Aguadilla; Aguada, PR

    Federal Register 2010, 2011, 2012, 2013, 2014

    2013-05-14

    ... Aguada Offshore Grand Prix, a high speed boat race. The event is scheduled to take place on Sunday, August 4, 2013. Approximately 30 high-speed power boats will be participating in the races. It is... Series, Inc. is sponsoring the Aguada Offshore Grand Prix, a series of high-speed boat races. The races...

  9. 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...

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

    Stewart, Gordon M.; Robertson, Amy; Jonkman, Jason

    A database of meteorological and ocean conditions is presented for use in offshore wind energy research and design. The original data are from 23 ocean sites around the USA and were obtained from the National Data Buoy Center run by the National Oceanic and Atmospheric Administration. The data are presented in a processed form that includes the variables of interest for offshore wind energy design: wind speed, significant wave height, wave peak-spectral period, wind direction and wave direction. For each site, a binning process is conducted to create conditional probability functions for each of these variables. The sites are thenmore » grouped according to geographic location and combined to create three representative sites, including a West Coast site, an East Coast site and a Gulf of Mexico site. Both the processed data and the probability distribution parameters for the individual and representative sites are being hosted on a publicly available domain by the National Renewable Energy Laboratory, with the intent of providing a standard basis of comparison for meteorological and ocean conditions for offshore wind energy research worldwide.« less

  11. Rip currents and alongshore flows in single channels dredged in the surf zone

    NASA Astrophysics Data System (ADS)

    Moulton, Melissa; Elgar, Steve; Raubenheimer, Britt; Warner, John C.; Kumar, Nirnimesh

    2017-05-01

    To investigate the dynamics of flows near nonuniform bathymetry, single channels (on average 30 m wide and 1.5 m deep) were dredged across the surf zone at five different times, and the subsequent evolution of currents and morphology was observed for a range of wave and tidal conditions. In addition, circulation was simulated with the numerical modeling system COAWST, initialized with the observed incident waves and channel bathymetry, and with an extended set of wave conditions and channel geometries. The simulated flows are consistent with alongshore flows and rip-current circulation patterns observed in the surf zone. Near the offshore-directed flows that develop in the channel, the dominant terms in modeled momentum balances are wave-breaking accelerations, pressure gradients, advection, and the vortex force. The balances vary spatially, and are sensitive to wave conditions and the channel geometry. The observed and modeled maximum offshore-directed flow speeds are correlated with a parameter based on the alongshore gradient in breaking-wave-driven-setup across the nonuniform bathymetry (a function of wave height and angle, water depths in the channel and on the sandbar, and a breaking threshold) and the breaking-wave-driven alongshore flow speed. The offshore-directed flow speed increases with dissipation on the bar and reaches a maximum (when the surf zone is saturated) set by the vertical scale of the bathymetric variability.

  12. Rip currents and alongshore flows in single channels dredged in the surf zone

    USGS Publications Warehouse

    Moulton, Melissa; Elgar, Steve; Raubenheimer, Britt; Warner, John C.; Kumar, Nirnimesh

    2017-01-01

    To investigate the dynamics of flows near nonuniform bathymetry, single channels (on average 30 m wide and 1.5 m deep) were dredged across the surf zone at five different times, and the subsequent evolution of currents and morphology was observed for a range of wave and tidal conditions. In addition, circulation was simulated with the numerical modeling system COAWST, initialized with the observed incident waves and channel bathymetry, and with an extended set of wave conditions and channel geometries. The simulated flows are consistent with alongshore flows and rip-current circulation patterns observed in the surf zone. Near the offshore-directed flows that develop in the channel, the dominant terms in modeled momentum balances are wave-breaking accelerations, pressure gradients, advection, and the vortex force. The balances vary spatially, and are sensitive to wave conditions and the channel geometry. The observed and modeled maximum offshore-directed flow speeds are correlated with a parameter based on the alongshore gradient in breaking-wave-driven-setup across the nonuniform bathymetry (a function of wave height and angle, water depths in the channel and on the sandbar, and a breaking threshold) and the breaking-wave-driven alongshore flow speed. The offshore-directed flow speed increases with dissipation on the bar and reaches a maximum (when the surf zone is saturated) set by the vertical scale of the bathymetric variability.

  13. 78 FR 7331 - SLR; Fajardo Offshore Grand Prix; Rada Fajardo; Fajardo, PR

    Federal Register 2010, 2011, 2012, 2013, 2014

    2013-02-01

    ... waters of Rada Fajardo in Fajardo, Puerto Rico during the Fajardo Offshore Grand Prix, a high speed boat race. The event is scheduled to take place on Sunday, March 17, 2013. Approximately 30 high-speed power... vessels participating in the high-speed boat races, are prohibited from entering, transiting through...

  14. Optimized Generator Designs for the DTU 10-MW Offshore Wind Turbine using GeneratorSE

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

    Sethuraman, Latha; Maness, Michael; Dykes, Katherine

    Compared to land-based applications, offshore wind imposes challenges for the development of next generation wind turbine generator technology. Direct-drive generators are believed to offer high availability, efficiency, and reduced operation and maintenance requirements; however, previous research suggests difficulties in scaling to several megawatts or more in size. The resulting designs are excessively large and/or massive, which are major impediments to transportation logistics, especially for offshore applications. At the same time, geared wind turbines continue to sustain offshore market growth through relatively cheaper and lightweight generators. However, reliability issues associated with mechanical components in a geared system create significant operation andmore » maintenance costs, and these costs make up a large portion of overall system costs offshore. Thus, direct-drive turbines are likely to outnumber their gear-driven counterparts for this market, and there is a need to review the costs or opportunities of building machines with different types of generators and examining their competitiveness at the sizes necessary for the next generation of offshore wind turbines. In this paper, we use GeneratorSE, the National Renewable Energy Laboratory's newly developed systems engineering generator sizing tool to estimate mass, efficiency, and the costs of different generator technologies satisfying the electromagnetic, structural, and basic thermal design requirements for application in a very large-scale offshore wind turbine such as the Technical University of Denmark's (DTU) 10-MW reference wind turbine. For the DTU reference wind turbine, we use the previously mentioned criteria to optimize a direct-drive, radial flux, permanent-magnet synchronous generator; a direct-drive electrically excited synchronous generator; a medium-speed permanent-magnet generator; and a high-speed, doubly-fed induction generator. Preliminary analysis of leveled costs of energy indicate that for large turbines, the cost of permanent magnets and reliability issues associated with brushes in electrically excited machines are the biggest deterrents for building direct-drive systems. The advantage of medium-speed permanent-magnet machines over doubly-fed induction generators is evident, yet, variability in magnet prices and solutions to address reliability issues associated with gearing and brushes can change this outlook. This suggests the need to potentially pursue fundamentally new innovations in generator designs that help avoid high capital costs but still have significant reliability related to performance.« less

  15. Optimized Generator Designs for the DTU 10-MW Offshore Wind Turbine using GeneratorSE: Preprint

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

    Sethuraman, Latha; Maness, Michael; Dykes, Katherine

    Compared to land-based applications, offshore wind imposes challenges for the development of next generation wind turbine generator technology. Direct-drive generators are believed to offer high availability, efficiency, and reduced operation and maintenance requirements; however, previous research suggests difficulties in scaling to several megawatts or more in size. The resulting designs are excessively large and/or massive, which are major impediments to transportation logistics, especially for offshore applications. At the same time, geared wind turbines continue to sustain offshore market growth through relatively cheaper and lightweight generators. However, reliability issues associated with mechanical components in a geared system create significant operation andmore » maintenance costs, and these costs make up a large portion of overall system costs offshore. Thus, direct-drive turbines are likely to outnumber their gear-driven counterparts for this market, and there is a need to review the costs or opportunities of building machines with different types of generators and examining their competitiveness at the sizes necessary for the next generation of offshore wind turbines. In this paper, we use GeneratorSE, the National Renewable Energy Laboratory's newly developed systems engineering generator sizing tool to estimate mass, efficiency, and the costs of different generator technologies satisfying the electromagnetic, structural, and basic thermal design requirements for application in a very large-scale offshore wind turbine such as the Technical University of Denmark's (DTU) 10-MW reference wind turbine. For the DTU reference wind turbine, we use the previously mentioned criteria to optimize a direct-drive, radial flux, permanent-magnet synchronous generator; a direct-drive electrically excited synchronous generator; a medium-speed permanent-magnet generator; and a high-speed, doubly-fed induction generator. Preliminary analysis of leveled costs of energy indicate that for large turbines, the cost of permanent magnets and reliability issues associated with brushes in electrically excited machines are the biggest deterrents for building direct-drive systems. The advantage of medium-speed permanent-magnet machines over doubly-fed induction generators is evident, yet, variability in magnet prices and solutions to address reliability issues associated with gearing and brushes can change this outlook. This suggests the need to potentially pursue fundamentally new innovations in generator designs that help avoid high capital costs but still have significant reliability related to performance.« less

  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. 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...

  18. 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

  19. Current observations offshore Punta Tuna, Puerto Rico, 21 June-7 December 1980. Part A

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

    Frye, D.; Leavitt, K.; Whitney, A.

    1981-08-01

    An oceanographic measurement program was conducted in the vicinity of a proposed ocean thermal energy conversion (OTEC) site about 20 km offshore of Punta Tuna, Puerto Rico. As part of the program, a mooring consisting of five current meters was maintained between 21 June and 7 December, 1980. The current data collected are summarized according to frequency of occurrence within 5 cm/sec speed and 15/sup 0/ direction intervals. Sums and percentages of total occurrence are given for each speed and direction class, along with mean speed, extreme speeds, mean component speeds, and standard deviations. Hourly averages of current speed, truemore » direction, current vector, temperature, and pressure are plotted as a function of time. On 13 December, 1980, a current meter array was deployed at the Punta Tuna site and recovered on May 16, 1981. The processed current data from this current meter array are described. (LEW)« less

  20. Modeling nearshore-offshore exchange in Lake Superior

    PubMed Central

    Tokos, Kathy S.; Matsumoto, Katsumi

    2018-01-01

    Lake Superior′s ecosystem includes distinct nearshore and offshore food webs linked by hydrodynamic processes that transport water and tracers along and across shore. The scales over which these processes occur and their sensitivity to increasing summer surface temperatures are not well understood. This study investigated horizontal mixing between nearshore and offshore areas of Lake Superior over the 10-year period from 2003 to 2012 using a realistically forced three-dimensional numerical model and virtual tracers. An age tracer was used to characterize the time scales of horizontal mixing between nearshore areas of the lake where water depth is less than 100 m and deeper areas. The age of water in nearshore areas increased and decreased in an annual cycle corresponding to the lake′s dimictic cycle of vertical mixing and stratification. Interannual variability of mixing in the isothermal period was significantly correlated to average springtime wind speed, whereas variability during the stratified season was correlated to the average summer surface temperature. Dispersal of a passive tracer released from nine locations around the model lake’s perimeter was more extensive in late summer when stratification was established lakewide than in early summer. The distribution of eddies resolved in the model reflected differences between the early and late summer dispersal patterns. In the eastern part of the lake dispersal was primarily alongshore, reflecting counterclockwise coastal circulation. In the western part of the lake, cross-shore mixing was enhanced by cross-basin currents. PMID:29447286

  1. Exploring the nearshore marine wind profile from field measurements and numerical hindcast

    NASA Astrophysics Data System (ADS)

    del Jesus, F.; Menendez, M.; Guanche, R.; Losada, I.

    2012-12-01

    Wind power is the predominant offshore renewable energy resource. In the last years, offshore wind farms have become a technically feasible source of electrical power. The economic feasibility of offshore wind farms depends on the quality of the offshore wind conditions compared to that of onshore sites. Installation and maintenance costs must be balanced with more hours and a higher quality of the available resources. European offshore wind development has revealed that the optimum offshore sites are those in which the distance from the coast is limited with high available resource. Due to the growth in the height of the turbines and the complexity of the coast, with interactions between inland wind/coastal orography and ocean winds, there is a need for field measurements and validation of numerical models to understand the marine wind profile near the coast. Moreover, recent studies have pointed out that the logarithmic law describing the vertical wind profile presents limitations. The aim of this work is to characterize the nearshore vertical wind profile in the medium atmosphere boundary layer. Instrumental observations analyzed in this work come from the Idermar project (www.Idermar.es). Three floating masts deployed at different locations on the Cantabrian coast provide wind measurements from a height of 20 to 90 meters. Wind speed and direction are measured as well as several meteorological variables at different heights of the profile. The shortest wind time series has over one year of data. A 20 year high-resolution atmospheric hindcast, using the WRF-ARW model and focusing on hourly offshore wind fields, is also analyzed. Two datasets have been evaluated: a European reanalysis with a ~15 Km spatial resolution, and a hybrid downscaling of wind fields with a spatial resolution of one nautical mile over the northern coast of Spain.. These numerical hindcasts have been validated based on field measurement data. Several parameterizations of the vertical wind profile are evaluated and, based on this work, a particular parameterization of the wind profile is proposed.

  2. 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.

  3. Assessment of Wind Resource in the Palk Strait using Different Methods

    NASA Astrophysics Data System (ADS)

    Gupta, T.; Khan, F.; Baidya Roy, S.; Miller, L.

    2017-12-01

    The Government of India has proposed a target of 60 GW in grid power from the wind by the year 2022. The Palk Strait is one of the potential offshore wind power generation sites in India. It is a 65-135 km wide and 135 km long channel lying between the south eastern tip of India and northern Sri Lanka. The complex terrain bounding the two sides of the strait leads to enhanced wind speed and reduced variability in the wind direction. Here, we compare 3 distinct methodologies for estimating the generation rates for a hypothetical offshore wind farm array located in the strait. The methodologies include: 1) traditional wind power density model that ignores the effect of turbine interactions on generation rates; 2) the PARK wake model; and 3) a high resolution weather model (WRF) with a wind turbine parameterization. Using the WRF model as our baseline, we find that the simple model overestimates generation by an order-of-magnitude, while the wake model underestimates generation rates by about 5%. The reason for these differences relates to the influence of wind turbines on the atmospheric flow, wherein, the WRF model is able to capture the effect of both the complex terrain and wind turbine atmospheric boundary layer interactions. Lastly, a model evaluation is conducted which shows that 10m wind speeds and directions from WRF are comparable with the satellite data. Hence, we conclude from the study that each of these methodologies may have merit, but should a wind farm is deployed in such a complex terrain, we expect the WRF method to give better estimates of wind resource assessment capturing the physical processes emerging due to the interactions between offshore wind farm and the surrounding terrain.

  4. Modelling the 2013 Typhoon Haiyan storm surge: Effect of waves, offshore winds, tide phase, and translation speed

    NASA Astrophysics Data System (ADS)

    Bilgera, P. H. T.

    2015-12-01

    Super Typhoon Haiyan, with wind speeds exceeding 300 km h-1 (160 knots) generated a storm surge in San Pedro Bay reaching heights of more than 6m in Tacloban City. Delft Dashboard (DDB), an open-source standalone Matlab based graphical user interface linked to the FLOW and WAVE modeling software of Deltares, was used to develop a coupled flow and wave storm surge model to understand the Typhoon Haiyan storm surge development and propagation. Various experiments were designed to determine the effect of waves, the occurrence of offshore winds prior to the surge, tidal phase, and typhoon translation speed on the surge height. Wave coupling decreased the surge height by about 0.5m probably due to energy dissipation from white capping, bottom friction, and depth-induced breaking. Offshore-directed winds before the arrival of the storm eye resulted to receding of the water level in San Pedro and Cancabato Bay, corroborated by eyewitness and tide gauge data. The experiment wherein the offshore winds were removed resulted to no water receding and a surge with a smaller and gentler surge front, pointing to the importance of the initial water level drawdown in contributing to the destructive power of the wave front. With regard to tides, the effect in Tacloban was actually neither linear nor additive to the surge, with higher surge coincident to low tides and lower surge coincident to high tides. Lastly, the model run with typhoon having a slower translation speed than Haiyan was found to generate higher surges.

  5. Modelling the 2013 Typhoon Haiyan Storm Surge: Effect of Waves, Offshore Winds, Tide Phase, and Translation Speed

    NASA Astrophysics Data System (ADS)

    Bilgera, P. H. T.; Villanoy, C.; Cabrera, O.

    2016-02-01

    Super Typhoon Haiyan, with wind speeds exceeding 300 km h-1 (160 knots) generated a storm surge in San Pedro Bay reaching heights of more than 6m in Tacloban City. Delft Dashboard (DDB), an open-source standalone Matlab based graphical user interface linked to the FLOW and WAVE modeling software of Deltares, was used to develop a coupled flow and wave storm surge model to understand the Typhoon Haiyan storm surge development and propagation. Various experiments were designed to determine the effect of waves, the occurrence of offshore winds prior to the surge, tidal phase, and typhoon translation speed on the surge height. Wave coupling decreased the surge height by about 0.5m probably due to energy dissipation from white capping, bottom friction, and depth-induced breaking. Offshore-directed winds before the arrival of the storm eye resulted to receding of the water level in San Pedro and Cancabato Bay, corroborated by eyewitness and tide gauge data. The experiment wherein the offshore winds were removed resulted to no water receding and a surge with a smaller and gentler surge front, pointing to the importance of the initial water level drawdown in contributing to the destructive power of the wave front. With regard to tides, the effect in Tacloban was actually neither linear nor additive to the surge, with higher surge coincident to low tides and lower surge coincident to high tides. Lastly, the model run with typhoon having a slower translation speed than Haiyan was found to generate higher surges.

  6. Performance of the CORDEX regional climate models in simulating offshore wind and wind potential

    NASA Astrophysics Data System (ADS)

    Kulkarni, Sumeet; Deo, M. C.; Ghosh, Subimal

    2018-03-01

    This study is oriented towards quantification of the skill addition by regional climate models (RCMs) in the parent general circulation models (GCMs) while simulating wind speed and wind potential with particular reference to the Indian offshore region. To arrive at a suitable reference dataset, the performance of wind outputs from three different reanalysis datasets is evaluated. The comparison across the RCMs and their corresponding parent GCMs is done on the basis of annual/seasonal wind statistics, intermodel bias, wind climatology, and classes of wind potential. It was observed that while the RCMs could simulate spatial variability of winds, well for certain subregions, they generally failed to replicate the overall spatial pattern, especially in monsoon and winter. Various causes of biases in RCMs were determined by assessing corresponding maps of wind vectors, surface temperature, and sea-level pressure. The results highlight the necessity to carefully assess the RCM-yielded winds before using them for sensitive applications such as coastal vulnerability and hazard assessment. A supplementary outcome of this study is in form of wind potential atlas, based on spatial distribution of wind classes. This could be beneficial in suitably identifying viable subregions for developing offshore wind farms by intercomparing both the RCM and GCM outcomes. It is encouraging that most of the RCMs and GCMs indicate that around 70% of the Indian offshore locations in monsoon would experience mean wind potential greater than 200 W/m2.

  7. Observation of high-resolution wind fields and offshore wind turbine wakes using TerraSAR-X imagery

    NASA Astrophysics Data System (ADS)

    Gies, Tobias; Jacobsen, Sven; Lehner, Susanne; Pleskachevsky, Andrey

    2014-05-01

    1. Introduction Numerous large-scale offshore wind farms have been built in European waters and play an important role in providing renewable energy. Therefore, knowledge of behavior of wakes, induced by large wind turbines and their impact on wind power output is important. The spatial variation of offshore wind turbine wake is very complex, depending on wind speed, wind direction, ambient atmospheric turbulence and atmospheric stability. In this study we demonstrate the application of X-band TerraSAR-X (TS-X) data with high spatial resolution for studies on wind turbine wakes in the near and far field of the offshore wind farm Alpha Ventus, located in the North Sea. Two cases which different weather conditions and different wake pattern as observed in the TS-X image are presented. 2. Methods The space-borne synthetic aperture radar (SAR) is a unique sensor that provides two-dimensional information on the ocean surface. Due to their high resolution, daylight and weather independency and global coverage, SARs are particularly suitable for many ocean and coastal applications. SAR images reveal wind variations on small scales and thus represent a valuable means in detailed wind-field analysis. The general principle of imaging turbine wakes is that the reduced wind speed downstream of offshore wind farms modulates the sea surface roughness, which in turn changes the Normalized Radar Cross Section (NRCS, denoted by σ0) in the SAR image and makes the wake visible. In this study we present two cases at the offshore wind farm Alpha Ventus to investigate turbine-induced wakes and the retrieved sea surface wind field. Using the wind streaks, visible in the TS-X image and the shadow behind the offshore wind farm, induced by turbine wake, the sea surface wind direction is derived and subsequently the sea surface wind speed is calculated using the latest generation of wind field algorithm XMOD2. 3. Case study alpha ventus Alpha Ventus is located approximately 45 km from the coast of Borkum, Germany, and consists of twelve 5-Megawatt wind power turbines. The retrieved results are validated by comparing with QuikSCAT measurements, the results of the German Weather Service (DWD) atmospheric model and in-situ measurements of wind speed and wind direction, obtained from the research platform FiNO1, installed 400 m west of Alpha Ventus. 4. Conclusion In the presented case study we quantify the wake characteristics of wake length, wake width, maximum velocity de?cit, wake merging and wake meandering. We show that SAR has the capability to map the sea surface two-dimensionally in high spatial resolution which provides a unique opportunity to observe spatial characteristics of offshore wind turbine wakes. The SAR derived information can support offshore wind farming with respect to optimal siting and design and help to estimate their effects on the environment.

  8. Satellite SAR applied in offhore wind resource mapping: possibilities and limitations

    NASA Astrophysics Data System (ADS)

    Hasager, C. B.

    Satellite remote sensing of ocean wind fields from Synthetic Aperture Radar (SAR) observations is presented. The study is based on a series of more than 60 ERS-2 SAR satellite scenes from the Horns Rev in the North Sea. The wind climate from the coastline and 80 km offshore is mapped in detail with a resolution of 400 m by 400 m grid cells. Spatial variations in wind speed as a function of wind direction and fetch are observed and discussed. The satellite wind fields are compared to in-situ observations from a tall offshore meteorological mast at which wind speed at 4 levels are analysed. The mast is located 14 km offshore and the wind climate is observed continously since May 1999. For offshore wind resource mapping the SAR-based wind field maps can constitute an alternative to in-situ observations and a practical method is developed for applied use in WAsP (Wind Atlas Analysis and Application Program). The software is the de facto world standard tool used for prediction of wind climate and power production from wind turbines and wind farms. The possibilities and limitations on achieving offshore wind resource estimates using SAR-based wind fields in lieu of in-situ data are discussed. It includes a presentation of the footprint area-averaging techniques tailored for SAR-based wind field maps. Averaging techniques are relevant for the reduction of noise apparent in SAR wind speed maps. Acknowledgments: Danish Research Agency (SAT-WIND Sagsnr. 2058-03-0006) for funding, ESA (EO-1356, AO-153) for ERS-2 SAR scenes, and Elsam Engineering A/S for in-situ met-data.

  9. Stability analysis of offshore wind farm and marine current farm

    NASA Astrophysics Data System (ADS)

    Shawon, Mohammad Hasanuzzaman

    Renewable energy has been playing an important role to meet power demand and 'Green Energy' market is getting bigger platform all over the world in the last few years. Due to massive increase in the prices of fossil fuels along with global warming issues, energy harvesting from renewable energy sources has received considerable interest, nowadays, where extensive researches are going on to ensure optimum use of renewable sources. In order to meet the increasing demand of electricity and power, integration of renewable energy is getting highest priorities around the world. Wind is one of the most top growing renewable energy resources and wind power market penetration is expected to reach 3.35 percent by 2013 from its present market of about 240 GW. A wind energy system is the most environmental friendly, cost effective and safe among all renewable energy resources available. Another promising form of renewable energy is ocean energy which covers 70 % of the earth. Ocean energy can be tapped from waves, tides and thermal elements. Offshore Wind farm (OWF) has already become very popular for large scale wind power integration with the onshore grid. Recently, marine current farm (MCF) is also showing good potential to become mainstream energy sources and already successfully commissioned in United Kingdom. However, squirrel cage induction generator (SCIG) has the stability problem similar to synchronous generator especially during fault location to restore the electromagnetic torque. Series dynamic braking resistor (SDBR) has been known as a useful mean to stabilize fixed speed wind generator system. On the other hand, doubly fed induction generator (DFIG) has the capability of coupling the control of active and reactive power and to provide necessary reactive power demand during grid fault conditions. Series dynamic braking resistor (SDBR) can also be employed with DFIG to limit the rotor over current. An integration of wind and tidal energy represents a new-trend for large electric energy production using offshore wind generators and marine current generators, respectively. Thus DFIG based offshore wind farm can be an economic solution to stabilize squirrel cage induction generator based marine current farm without installing any addition FACTS devices. This thesis first focuses on the stabilization of fixed speed IG based marine current farm using SDBR. Also stabilization of DFIG based variable speed wind farm utilizing SDBR is studied in this work. Finally a co-operative control strategy is proposed where DFIG is controlled in such a way that it can even provide necessary reactive power demand of induction generator, so that additional cost of FACTS devices can be avoided. In that way, the DFIGs of the offshore wind farm (OWF) will actively compensate the reactive power demand of adjacent IGs of the marine current farm (MCF) during grid fault. Detailed modeling and control scheme for the proposed system are demonstrated considering some realistic scenarios. The power system small signal stability analysis is also carried out by eigenvalue analysis for marine current generator topology, wind turbine generator topology and integrated topology. The relation between the modes and state variables are discussed in light of modal and sensitivity analyses. The results of theoretical analyses are verified by MATLAB/SIMULINK and laboratory standard power system simulator PSCAD/EMTDC.

  10. 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.

  11. 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 forecasts of wind energy output.

  12. Towers for Offshore Wind Turbines

    NASA Astrophysics Data System (ADS)

    Kurian, V. J.; Narayanan, S. P.; Ganapathy, C.

    2010-06-01

    Increasing energy demand coupled with pollution free production of energy has found a viable solution in wind energy. Land based windmills have been utilized for power generation for more than two thousand years. In modern times wind generated power has become popular in many countries. Offshore wind turbines are being used in a number of countries to tap the energy from wind over the oceans and convert to electric energy. The advantages of offshore wind turbines as compared to land are that offshore winds flow at higher speed than onshore winds and the more available space. In some land based settings, for better efficiency, turbines are separated as much as 10 rotor diameters from each other. In offshore applications where only two wind directions are likely to predominate, the distances between the turbines arranged in a line can be shortened to as little as two or four rotor diameters. Today, more than a dozen offshore European wind facilities with turbine ratings of 450 kw to 3.6 MW exist offshore in very shallow waters of 5 to 12 m. Compared to onshore wind turbines, offshore wind turbines are bigger and the tower height in offshore are in the range of 60 to 80 m. The water depths in oceans where offshore turbines can be located are within 30 m. However as the distance from land increases, the costs of building and maintaining the turbines and transmitting the power back to shore also increase sharply. The objective of this paper is to review the parameters of design for the maximum efficiency of offshore wind turbines and to develop types offshore towers to support the wind turbines. The methodology of design of offshore towers to support the wind turbine would be given and the environmental loads for the design of the towers would be calculated for specific cases. The marine corrosion on the towers and the methods to control the corrosion also would be briefly presented. As the wind speeds tend to increase with distance from the shore, turbines build father offshore will be able to capture more wind energy. Currently two types of towers are considered. Cylindrical tubular structures and truss type structures. But truss type structures have less weight and flexibility in design. The construction of the offshore towers to harness the wind energy is also presented. The results will include the calculation of wind and wave forces on the tower and the design details for the tower.

  13. Facies characterization and sequential evolution of an ancient offshore dunefield in a semi-enclosed sea: Neuquén Basin, Argentina

    NASA Astrophysics Data System (ADS)

    Veiga, Gonzalo D.; Schwarz, Ernesto

    2017-08-01

    This study analyses a 30-m-thick, sand-dominated succession intercalated between offshore mudstones in the Lower Cretaceous record of the Neuquén Basin, Argentina, defining facies associated with unidirectional currents as sand dunes (simple and compound), rippled sand sheets and heterolithic sheets. These facies associations are related to the development of an offshore, forward-accreting dunefield developed as a response to the onset of a tidal-transport system. The reported stratigraphic record results from the combination of the gradual downcurrent decrease of the current speed together with the long-term climbing of the entire system. Maximum amplification of the tidal effect associated with incoming oceanic tides to this epicontinental sea would develop at the time of more efficient connection between the basin and the open ocean. Thus, the onset of the offshore tidal system approximately corresponds to the time of maximum flooding conditions (or immediately after). The short-term evolution of the tidal-transport system is more complex and characterized by the vertical stacking of small-scale cycles defined by the alternation of episodes of construction and destruction of the dunefield. The development of these cycles could be the response to changes in tidal current speed and transport capacity.

  14. Long term estimations of low frequency noise levels over water from an off-shore wind farm.

    PubMed

    Bolin, Karl; Almgren, Martin; Ohlsson, Esbjörn; Karasalo, Ilkka

    2014-03-01

    This article focuses on computations of low frequency sound propagation from an off-shore wind farm. Two different methods for sound propagation calculations are combined with meteorological data for every 3 hours in the year 2010 to examine the varying noise levels at a reception point at 13 km distance. It is shown that sound propagation conditions play a vital role in the noise impact from the off-shore wind farm and ordinary assessment methods can become inaccurate at longer propagation distances over water. Therefore, this paper suggests that methodologies to calculate noise immission with realistic sound speed profiles need to be combined with meteorological data over extended time periods to evaluate the impact of low frequency noise from modern off-shore wind farms.

  15. 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

  16. 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.

  17. Wind turbine fault detection and classification by means of image texture analysis

    NASA Astrophysics Data System (ADS)

    Ruiz, Magda; Mujica, Luis E.; Alférez, Santiago; Acho, Leonardo; Tutivén, Christian; Vidal, Yolanda; Rodellar, José; Pozo, Francesc

    2018-07-01

    The future of the wind energy industry passes through the use of larger and more flexible wind turbines in remote locations, which are increasingly offshore to benefit stronger and more uniform wind conditions. The cost of operation and maintenance of offshore wind turbines is approximately 15-35% of the total cost. Of this, 80% goes towards unplanned maintenance issues due to different faults in the wind turbine components. Thus, an auspicious way to contribute to the increasing demands and challenges is by applying low-cost advanced fault detection schemes. This work proposes a new method for detection and classification of wind turbine actuators and sensors faults in variable-speed wind turbines. For this purpose, time domain signals acquired from the operating wind turbine are represented as two-dimensional matrices to obtain grayscale digital images. Then, the image pattern recognition is processed getting texture features under a multichannel representation. In this work, four types of texture characteristics are used: statistical, wavelet, granulometric and Gabor features. Next, the most significant ones are selected using the conditional mutual criterion. Finally, the faults are detected and distinguished between them (classified) using an automatic classification tool. In particular, a 10-fold cross-validation is used to obtain a more generalized model and evaluates the classification performance. Coupled non-linear aero-hydro-servo-elastic simulations of a 5 MW offshore type wind turbine are carried out in several fault scenarios. The results show a promising methodology able to detect and classify the most common wind turbine faults.

  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. Quantifying array losses due to spacing and staggering in offshore wind farms (Invited)

    NASA Astrophysics Data System (ADS)

    Archer, C. L.; Mirzaeisefat, S.; Lee, S.; Xie, S.

    2013-12-01

    The layout of wind turbines can have an impact on the power production of a wind farm. Design variables that define the layout of wind turbines within a wind farm include: orientation of the rows with respect to the prevailing wind direction, size and shape of the wind farm, spacing between turbines, and alignment of the turbines (i.e., whether in-line or staggered with one another). There are no universal layout recommendations for offshore wind farms, partly because isolating the contribution of each individual design variable is impossible at existing offshore wind farms, where multiple effects overlap non-linearly on one another, and partly because analyzing the sensitivity to design variables requires sophisticated and computer-intensive numerical codes, such as large-eddy simulations (LES), that can simulate the small-scale turbulent features of turbine wakes. The National Renewable Energy Laboratory (NREL) developed the only publicly available and open-source LES code that is capable of resolving wind turbine blades as rotating actuator lines (not fixed disks), includes both neutral and unstable atmospheric conditions (stable case is currently under development), and does not rely on periodic boundary conditions. This code, named Simulator for Offshore/Onshore Wind Farm Applications (SOWFA), is based on OpenFOAM and has been used successfully in the past for turbulent wake simulations. Here we address the issue of quantifying two design variables: turbine spacing (both along and across the prevailing wind direction) and alignment (in-line or staggered for consecutive rows). SOWFA is used to simulate an existing offshore wind farm in Lillgrund (Sweden), consisting of 48 Siemens 2.3 MW turbines with spacing of 3.2D across and 4.3D along the prevailing wind direction and without staggering, where D is the turbine diameter (93 m). This spacing is exceptionally tight, to our knowledge the tightest of all modern wind farms. While keeping the area and the shape of the farm constant, we design several new Lillgrund farm layouts with and without staggering, with increased spacing in each direction individually and in both directions together, and with various wind directions and atmospheric stabilities. We found that the average wind power generated per turbine is increased by ~32% (from 696 kW to 922 kW) if both staggering and doubling of the across-spacing are implemented simultaneously in a neutral stability case. Wake losses are quantified in terms of average power in the first (upwind) row of wind turbines in the control case, representative of the power that could be generated if there were no wakes, over the average power of all the wind turbines in the farm. Wake losses at Lillgrund are relatively high due to the tight packing, of the order of 35%, but smart combinations of staggering and doubling of turbine spacing can reduce them to 15%-26%. In summary, we provide estimates of the losses/gains associated with individual and combined changes in two design variables, spacing and staggering, under various atmospheric stabilities, wind directions, and wind speeds. These estimates will be useful to the wind industry to optimize a wind project because the effects of alternative layouts can be quantified quickly with respect to total power, capacity factor, and number of wind turbines, all of which can ultimately be converted to actual costs or savings.

  20. Quantifying array losses due to spacing and staggering in offshore wind farms (Invited)

    NASA Astrophysics Data System (ADS)

    Archer, C. L.; Mirzaeisefat, S.; Lee, S.; Xie, S.

    2011-12-01

    The layout of wind turbines can have an impact on the power production of a wind farm. Design variables that define the layout of wind turbines within a wind farm include: orientation of the rows with respect to the prevailing wind direction, size and shape of the wind farm, spacing between turbines, and alignment of the turbines (i.e., whether in-line or staggered with one another). There are no universal layout recommendations for offshore wind farms, partly because isolating the contribution of each individual design variable is impossible at existing offshore wind farms, where multiple effects overlap non-linearly on one another, and partly because analyzing the sensitivity to design variables requires sophisticated and computer-intensive numerical codes, such as large-eddy simulations (LES), that can simulate the small-scale turbulent features of turbine wakes. The National Renewable Energy Laboratory (NREL) developed the only publicly available and open-source LES code that is capable of resolving wind turbine blades as rotating actuator lines (not fixed disks), includes both neutral and unstable atmospheric conditions (stable case is currently under development), and does not rely on periodic boundary conditions. This code, named Simulator for Offshore/Onshore Wind Farm Applications (SOWFA), is based on OpenFOAM and has been used successfully in the past for turbulent wake simulations. Here we address the issue of quantifying two design variables: turbine spacing (both along and across the prevailing wind direction) and alignment (in-line or staggered for consecutive rows). SOWFA is used to simulate an existing offshore wind farm in Lillgrund (Sweden), consisting of 48 Siemens 2.3 MW turbines with spacing of 3.2D across and 4.3D along the prevailing wind direction and without staggering, where D is the turbine diameter (93 m). This spacing is exceptionally tight, to our knowledge the tightest of all modern wind farms. While keeping the area and the shape of the farm constant, we design several new Lillgrund farm layouts with and without staggering, with increased spacing in each direction individually and in both directions together, and with various wind directions and atmospheric stabilities. We found that the average wind power generated per turbine is increased by ~32% (from 696 kW to 922 kW) if both staggering and doubling of the across-spacing are implemented simultaneously in a neutral stability case. Wake losses are quantified in terms of average power in the first (upwind) row of wind turbines in the control case, representative of the power that could be generated if there were no wakes, over the average power of all the wind turbines in the farm. Wake losses at Lillgrund are relatively high due to the tight packing, of the order of 35%, but smart combinations of staggering and doubling of turbine spacing can reduce them to 15%-26%. In summary, we provide estimates of the losses/gains associated with individual and combined changes in two design variables, spacing and staggering, under various atmospheric stabilities, wind directions, and wind speeds. These estimates will be useful to the wind industry to optimize a wind project because the effects of alternative layouts can be quantified quickly with respect to total power, capacity factor, and number of wind turbines, all of which can ultimately be converted to actual costs or savings.

  1. How International Students Select Offshore Programs: The Influence of Image, Attitude, Subject Norm, and Perceived Behavioral Control

    ERIC Educational Resources Information Center

    Li, Jianyao; Liu, Fang; Rojas-Méndez, José I.

    2013-01-01

    Previous research studies identified country image as an important variable in international students' selection of onshore programs, and it is often perceived that there is little difference between onshore and offshore program selection. Looking at a sample of high school students in China and their selections of offshore programs (from a sample…

  2. High Voltage Power Transmission for Wind Energy

    NASA Astrophysics Data System (ADS)

    Kim, Young il

    The high wind speeds and wide available area at sea have recently increased the interests on offshore wind farms in the U.S.A. As offshore wind farms become larger and are placed further from the shore, the power transmission to the onshore grid becomes a key feature. Power transmission of the offshore wind farm, in which good wind conditions and a larger installation area than an onshore site are available, requires the use of submarine cable systems. Therefore, an underground power cable system requires unique design and installation challenges not found in the overhead power cable environment. This paper presents analysis about the benefit and drawbacks of three different transmission solutions: HVAC, LCC/VSC HVDC in the grid connecting offshore wind farms and also analyzed the electrical characteristics of underground cables. In particular, loss of HV (High Voltage) subsea power of the transmission cables was evaluated by the Brakelmann's theory, taking into account the distributions of current and temperature.

  3. Developing an automated risk management tool to minimize bird and bat mortality at wind facilities.

    PubMed

    Robinson Willmott, Julia; Forcey, Greg M; Hooton, Lauren A

    2015-11-01

    A scarcity of baseline data is a significant barrier to understanding and mitigating potential impacts of offshore development on birds and bats. Difficult and sometimes unpredictable conditions coupled with high expense make gathering such data a challenge. The Acoustic and Thermographic Offshore Monitoring (ATOM) system combines thermal imaging with acoustic and ultrasound sensors to continuously monitor bird and bat abundance, flight height, direction, and speed. ATOM's development and potential capabilities are discussed, and illustrated using onshore and offshore test data obtained over 16 months in the eastern USA. Offshore deployment demonstrated birds tending to fly into winds and activity declining sharply in winds >10 km h(-1). Passerines showed distinct seasonal changes in flight bearing and flew higher than non-passerines. ATOM data could be used to automatically shut down wind turbines to minimize collision mortality while simultaneously providing information for modeling activity in relation to weather and season.

  4. Nearshore drift dynamics of natural versus artificial seagrass wrack

    NASA Astrophysics Data System (ADS)

    Baring, Ryan J.; Fairweather, Peter G.; Lester, Rebecca E.

    2018-03-01

    Drifting macrophytes such as seagrass and macroalgae are commonly found washed ashore on sandy beaches but few studies have investigated the drift trajectories of macrophytes whilst near to the coast. This is the first study to investigate the surface drifting of small clumps of seagrass released at various distances from shore, across multiple days with contrasting wind and tidal conditions, in a large gulf in southern Australia. Natural and artificial radio-tagged seagrass units generally travelled in the same directions as tides but trajectories were variable across sampling days and when tagged units were released at different distances from shore. Natural and artificial units diverged from each other particularly on days when wind speeds increased but generally drifted in the same direction and ended up within close proximity to each other at the 6-h endpoint. During calm conditions, tagged seagrass units drifted with tides for 0.25-5 km and, during one sampling day when wind speeds increased, drifted for >5 km over the 6-h time period. Only tagged units that were released closest to shore stranded on sandy beaches within the six hours of observation, so it would be difficult to predict the eventual stranding location on shorelines for macrophytes released further offshore. This study provides evidence of the variability of macrophyte drift dynamics near to coastlines. Acknowledging this variability is essential for further understanding of the ecological significance of allochthonous material arriving at shorelines, which should be integrated into future research and management of sandy-beach ecosystems.

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

    NASA Astrophysics Data System (ADS)

    Collier, Cristina

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

  6. Influence of Typhoon Matsa on Phytoplankton Chlorophyll-a off East China

    PubMed Central

    Shao, Jinchao; Han, Guoqi; Yang, Dezhou

    2015-01-01

    Typhoons can cause strong disturbance, mixing, and upwelling in the upper layer of the oceans. Rich nutrients from the subsurface layer can be brought to the euphotic layer, which will induce the phytoplankton to breed and grow rapidly. In this paper, we investigate the impact of an intense and fast moving tropical storm, Typhoon Matsa, on phytoplankton chlorophyll-a (Chl-a) concentration off East China. By using satellite remote sensing data, we analyze the changes of Chl-a concentration, Sea Surface Temperature (SST) and wind speed in the pre- and post-typhoon periods. We also give a preliminary discussion on the different responses of the Chl-a concentration between nearshore and offshore waters. In nearshore/coastal regions where nutrients are generally rich, the Chl-a maximum occurs usually at the surface or at the layer close to the surface. And, in offshore tropical oligotrophic oceans, the subsurface maxima of Chl-a exist usually in the stratified water column. In an offshore area east of Taiwan, the Chl-a concentration rose gradually in about two weeks after the typhoon. However, in a coastal area north of Taiwan high Chl-a concentration decreased sharply before landfall, rebounded quickly to some degree after landfall, and restored gradually to the pre-typhoon level in about two weeks. The Chl-a concentration presented a negative correlation with the wind speed in the nearshore area during the typhoon, which is opposite to the response in the offshore waters. The phenomena may be attributable to onshore advection of low Chl-a water, coastal downwelling and intensified mixing, which together bring pre-typhoon surface Chl-a downward in the coastal area. In the offshore area, the typhoon may trigger increase of Chl-a concentration through uptake of nutrients by typhoon-induced upwelling and entrainment mixing. PMID:26407324

  7. Reattachment Zone Characterisation Under Offshore Winds With Flow Separation On The Lee Side Of Coastal Dunes

    NASA Astrophysics Data System (ADS)

    Delgado-Fernandez, I.; Jackson, D.; Cooper, J. A.; Baas, A. C.; Lynch, K.; Beyers, M.

    2010-12-01

    Airflow separation, lee-side eddies and secondary flows play an essential role on the formation and maintenance of sand dunes. Downstream from dune crests the flow surface layer detaches from the ground and generates an area characterised by turbulent eddies in the dune lee slope (the wake). At some distance downstream from the dune crest, flow separates into a reversed component directed toward the dune toe and an offshore “re-attached” component. This reattachment zone (RZ) has been documented in fluvial and desert environments, wind tunnel experiments and numerical simulations, but not yet characterised in coastal dunes. This study examines the extent and temporal evolution of the RZ and its implications for beach-dune interaction at Magilligan, Northern Ireland. Wind parameters were measured over a profile extending from an 11 m height dune crest towards the beach, covering a total distance of 65 m cross-shore. Data was collected using an array of nine ultrasonic anemometers (UAs) deployed in April-May 2010, as part of a larger experiment to capture airflow data under a range of incident wind velocities and offshore directions. UAs were located along the profile (5 m tower spacing) over the beach, which allowed a detailed examination of the RZ with empirical data. Numerical modelling using Computational Fluid Dynamics (CFD) software was also conducted with input data from anemometer field measurements, running over a surface mesh generated from LiDAR and DGPS surveys. Results demonstrate that there is a wind threshold of approximately 5-6 ms-1 under which no flow separation exists with offshore winds. As wind speed increases over the threshold, a flow reversal area is quickly formed, with the maximum extent of the RZ at approximately 3.5 dune heights (h). The maximum extent of the RZ increases up to 4.5h with stronger wind speeds of 8-10 ms-1 and remains relatively constant as wind speed further increases. This suggests that the spatial extent of the RZ is independent of incident wind speed and is located between 4-5h. The magnitude of the maximum extent of the RZ is similar to that simulated using CFD and is consistent with previous studies conducted in desert dunes and wind tunnel simulations for offshore winds blowing over tall and sharp-crested dunes. Ongoing analyses are being conducted to evaluate the effect of changing wind direction, dune height and shape.

  8. Evaluating potentials for future generation off-shore wind-power outside Norway

    NASA Astrophysics Data System (ADS)

    Benestad, R. E.; Haugen, J.; Haakenstad, H.

    2012-12-01

    With todays critical need of renewable energy sources, it is naturally to look towards wind power. With the long coast of Norway, there is a large potential for wind farms offshore Norway. Although there are more challenges with offshore wind energy installations compared to wind farms on land, the offshore wind is generally higher, and there is also higher persistence of wind speed values in the power generating classes. I planning offshore wind farms, there is a need of evaluation of the wind resources, the wind climatology and possible future changes. In this aspect, we use data from regional climate model runs performed in the European ENSEMBLE-project (van der Linden and J.F.B. Mitchell, 2009). In spite of increased reliability in RCMs in the recent years, the simulations still suffer from systematic model errors, therefore the data has to be corrected before using them in wind resource analyses. In correcting the wind speeds from the RCMs, we will use wind speeds from a Norwegian high resolution wind- and wave- archive, NORA10 (Reistad et al 2010), to do quantile mapping (Themeβl et. al. 2012). The quantile mapping is performed individually for each regional simulation driven by ERA40-reanalysis from the ENSEMBLE-project corrected against NORA10. The same calibration is then used to the belonging regional climate scenario. The calibration is done for each grid cell in the domain and for each day of the year centered in a +/-15 day window to make an empirical cumulative density function for each day of the year. The quantile mapping of the scenarios provide us with a new wind speed data set for the future, more correct compared to the raw ENSEMBLE scenarios. References: Reistad M., Ø. Breivik, H. Haakenstad, O. J. Aarnes, B. R. Furevik and J-R Bidlo, 2010, A high-resolution hindcast of wind and waves for The North Sea, The Norwegian Sea and The Barents Sea. J. Geophys. Res., 116. doi:10.1029/2010JC006402. Themessl M. J., A. Gobiet and A. Leuprecht, 2012, Empirical-statistical downscaling and error correction of regional climate models and its imipact on the climate change signal. Climatic Change 112: 449-468, DOI 10.1007/s10584-011-0224-4. Van der Linden P. and J.F.B. Mitchell, 2009, ENSEMBLES: Climate Change and its Impacts_ Summary and results from the ENSEMBLES project. Met Office Hadley Centre, FitzRoy Road, Exeter EX1 3PB, UK.

  9. Sensitivity of Offshore Surface Fluxes and Sea Breezes to the Spatial Distribution of Sea-Surface Temperature

    NASA Astrophysics Data System (ADS)

    Lombardo, Kelly; Sinsky, Eric; Edson, James; Whitney, Michael M.; Jia, Yan

    2018-03-01

    A series of numerical sensitivity experiments is performed to quantify the impact of sea-surface temperature (SST) distribution on offshore surface fluxes and simulated sea-breeze dynamics. The SST simulations of two mid-latitude sea-breeze events over coastal New England are performed using a spatially-uniform SST, as well as spatially-varying SST datasets of 32- and 1-km horizontal resolutions. Offshore surface heat and buoyancy fluxes vary in response to the SST distribution. Local sea-breeze circulations are relatively insensitive, with minimal differences in vertical structure and propagation speed among the experiments. The largest thermal perturbations are confined to the lowest 10% of the sea-breeze column due to the relatively high stability of the mid-Atlantic marine atmospheric boundary layer (ABL) suppressing vertical mixing, resulting in the depth of the marine layer remaining unchanged. Minimal impacts on the column-averaged virtual potential temperature and sea-breeze depth translates to small changes in sea-breeze propagation speed. This indicates that the use of datasets with a fine-scale SST may not produce more accurate sea-breeze simulations in highly stable marine ABL regimes, though may prove more beneficial in less stable sub-tropical environments.

  10. Climate-driven variations in thermal forcing across a nearshore reef system during a marine heat wave and its potential impact on coral calcification

    NASA Astrophysics Data System (ADS)

    Falter, J.; Zhang, Z.; Lowe, R.; Foster, T.; McCulloch, M. T.

    2016-02-01

    We examined the oceanic and atmospheric forces driving seasonal and spatial variability in water temperature across backreef and lagoonal habitats at Coral Bay at Ningaloo Reef, Western Australia before, during, and after a historically unprecedented marine heat wave and resulting mass bleaching event in 2010-2011. Local deviations in the mean daily temperature of nearshore reef waters from offshore values were a linear function of the combined effect of net atmospheric heating and offshore wave height and period . While intra-annual variation in local heat exchange was driven mainly by seasonal changes in short-wave radiation; intra-annual variation in local cooling was driven mostly by changes in relative humidity (r2 = 0.60) and wind speed (r2 = 0.31) which exhibited no apparent seasonality. We demonstrate good agreement between nearshore reef temperatures modeled from offshore sea surface temperatures (SST), offshore wave forcing, and local atmospheric heat fluxes with observed temperatures using a simple linear model (r2 = 0.31 to 0.69, root-mean-square error = 0.4°C to 0.9°C). Using these modeled nearshore reef temperature records, we show that during the heat wave local thermal stresses across the reef reached as high as 18-34 °C-weeks and were being both intensified and accelerated by regional climate forcing when compared with offshore waters (12.6 °C-weeks max). Measurements of coral calcification made in Coral Bay following the bleaching event appear to lack any distinct seasonality; possibly due to the long-term effects of acute thermal stress. However, similarly minimal seasonality in calcification rates had also been observed in an Acropora-dominated community at Ningaloo years before the heat wave as well as more recently in coral from regions in WA that had avoided mass bleaching. These observations, in conjunction with observations that most of the bleached communities within Coral Bay had recovered their color within 3-6 months of the bleaching event, suggest that how reef building coral respond to a severe thermal stress event can be somewhat nuanced depending on the local and regional setting.

  11. Insights from field observations into controls on flow front speed in submarine sediment flows

    NASA Astrophysics Data System (ADS)

    Heerema, C.; Talling, P.; Cartigny, M.; Paull, C. K.; Gwiazda, R.; Clare, M. A.; Parsons, D. R.; Xu, J.; Simmons, S.; Maier, K. L.; Chapplow, N.; Gales, J. A.; McGann, M.; Barry, J.; Lundsten, E. M.; Anderson, K.; O'Reilly, T. C.; Rosenberger, K. J.; Sumner, E. J.; Stacey, C.

    2017-12-01

    Seafloor avalanches of sediment called turbidity currents are one of the most important processes for moving sediment across our planet. Only rivers carry comparable amounts of sediment across such large areas. Here we present some of the first detailed monitoring of these underwater flows that is being undertaken at a series of test sites. We seek to understand the factors that determine flow front speed, and how that speed varies with distance. This frontal speed is particularly important for predicting flow runout, and how the power of these hazardous flows varies with distance. First, we consider unusually detailed measurements of flow front speed defined by transit times between moorings and other tracked objects placed on the floor of Monterey Canyon offshore California in 2016-17. These measurements are then compared to flow front speeds measured using multiple moorings in Bute Inlet, British Columbia in 2016; and by cable breaks in Gaoping Canyon offshore Taiwan in 2006 and 2009. We seek to understand how flow front velocity is related to seafloor gradient, flow front thickness and density. It appears that the spatial evolution of frontal speed is similar in multiple flows, although their peak frontal velocities vary. Flow front velocity tends to increase rapidly initially before declining rather gradually over tens or even hundreds of kilometres. It has been proposed that submarine flows will exist in one of two states; either eroding and accelerating, or depositing sediment and dissipating. We conclude by discussing the implications of this global compilation of flow front velocities for understanding submarine flow behaviour.

  12. 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.

  13. Mesoscale modelling methodology based on nudging to increase accuracy in WRA

    NASA Astrophysics Data System (ADS)

    Mylonas Dirdiris, Markos; Barbouchi, Sami; Hermmann, Hugo

    2016-04-01

    The offshore wind energy has recently become a rapidly growing renewable energy resource worldwide, with several offshore wind projects in development in different planning stages. Despite of this, a better understanding of the atmospheric interaction within the marine atmospheric boundary layer (MABL) is needed in order to contribute to a better energy capture and cost-effectiveness. Light has been thrown in observational nudging as it has recently become an innovative method to increase the accuracy of wind flow modelling. This particular study focuses on the observational nudging capability of Weather Research and Forecasting (WRF) and ways the uncertainty of wind flow modelling in the wind resource assessment (WRA) can be reduced. Finally, an alternative way to calculate the model uncertainty is pinpointed. Approach WRF mesoscale model will be nudged with observations from FINO3 at three different heights. The model simulations with and without applying observational nudging will be verified against FINO1 measurement data at 100m. In order to evaluate the observational nudging capability of WRF two ways to derive the model uncertainty will be described: one global uncertainty and an uncertainty per wind speed bin derived using the recommended practice of the IEA in order to link the model uncertainty to a wind energy production uncertainty. This study assesses the observational data assimilation capability of WRF model within the same vertical gridded atmospheric column. The principal aim is to investigate whether having observations up to one height could improve the simulation at a higher vertical level. The study will use objective analysis implementing a Cress-man scheme interpolation to interpolate the observation in time and in sp ace (keeping the horizontal component constant) to the gridded analysis. Then the WRF model core will incorporate the interpolated variables to the "first guess" to develop a nudged simulation. Consequently, WRF with and without applying observational nudging will be validated against the higher level of FINO1 met mast using verification statistical metrics such as root mean square error (RMSE), standard deviation of mean error (ME Std), mean error average (bias) and Pearson correlation coefficient (R). The respective process will be followed for different atmospheric stratification regimes in order to evaluate the sensibility of the method to the atmospheric stability. Finally, since wind speed does not have an equally distributed impact on the power yield, the uncertainty will be measured using two ways resulting in a global uncertainty and one per wind speed bin based on a wind turbine power curve in order to evaluate the WRF for the purposes of wind power generation. Conclusion This study shows the higher accuracy of the WRF model after nudging observational data. In a next step these results will be compared with traditional vertical extrapolation methods such as power and log laws. The larger picture of this work would be to nudge the observations from a short offshore metmast in order for the WRF to reconstruct accurately the entire wind profile of the atmosphere up to hub height. This is an important step in order to reduce the cost of offshore WRA. Learning objectives 1. The audience will get a clear view of the added value of observational nudging; 2. An interesting way to calculate WRF uncertainty will be described, linking wind speed uncertainty to energy uncertainty.

  14. Development of a validation model for the defense meteorological satellite program's special sensor microwave imager

    NASA Technical Reports Server (NTRS)

    Swift, C. T.; Goodberlet, M. A.; Wilkerson, J. C.

    1990-01-01

    The Defence Meteorological Space Program's (DMSP) Special Sensor Microwave/Imager (SSM/I), an operational wind speed algorithm was developed. The algorithm is based on the D-matrix approach which seeks a linear relationship between measured SSM/I brightness temperatures and environmental parameters. D-matrix performance was validated by comparing algorithm derived wind speeds with near-simultaneous and co-located measurements made by off-shore ocean buoys. Other topics include error budget modeling, alternate wind speed algorithms, and D-matrix performance with one or more inoperative SSM/I channels.

  15. Gusts and shear within hurricane eyewalls can exceed offshore wind turbine design standards

    NASA Astrophysics Data System (ADS)

    Worsnop, Rochelle P.; Lundquist, Julie K.; Bryan, George H.; Damiani, Rick; Musial, Walt

    2017-06-01

    Offshore wind energy development is underway in the U.S., with proposed sites located in hurricane-prone regions. Turbine design criteria outlined by the International Electrotechnical Commission do not encompass the extreme wind speeds and directional shifts of hurricanes stronger than category 2. We examine a hurricane's turbulent eyewall using large-eddy simulations with Cloud Model 1. Gusts and mean wind speeds near the eyewall of a category 5 hurricane exceed the current Class I turbine design threshold of 50 m s-1 mean wind and 70 m s-1 gusts. Largest gust factors occur at the eye-eyewall interface. Further, shifts in wind direction suggest that turbines must rotate or yaw faster than current practice. Although current design standards omit mention of wind direction change across the rotor layer, large values (15-50°) suggest that veer should be considered.

  16. Gusts and shear within hurricane eyewalls can exceed offshore wind turbine design standards

    DOE PAGES

    Worsnop, Rochelle P.; Lundquist, Julie K.; Bryan, George H.; ...

    2017-05-30

    Here, offshore wind energy development is underway in the U.S., with proposed sites located in hurricane-prone regions. Turbine design criteria outlined by the International Electrotechnical Commission do not encompass the extreme wind speeds and directional shifts of hurricanes stronger than category 2. We examine a hurricane's turbulent eyewall using large-eddy simulations with Cloud Model 1. Gusts and mean wind speeds near the eyewall of a category 5 hurricane exceed the current Class I turbine design threshold of 50 m s –1 mean wind and 70 m s –1 gusts. Largest gust factors occur at the eye-eyewall interface. Further, shifts inmore » wind direction suggest that turbines must rotate or yaw faster than current practice. Although current design standards omit mention of wind direction change across the rotor layer, large values (15–50°) suggest that veer should be considered.« less

  17. Gusts and shear within hurricane eyewalls can exceed offshore wind turbine design standards

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

    Worsnop, Rochelle P.; Lundquist, Julie K.; Bryan, George H.

    Here, offshore wind energy development is underway in the U.S., with proposed sites located in hurricane-prone regions. Turbine design criteria outlined by the International Electrotechnical Commission do not encompass the extreme wind speeds and directional shifts of hurricanes stronger than category 2. We examine a hurricane's turbulent eyewall using large-eddy simulations with Cloud Model 1. Gusts and mean wind speeds near the eyewall of a category 5 hurricane exceed the current Class I turbine design threshold of 50 m s –1 mean wind and 70 m s –1 gusts. Largest gust factors occur at the eye-eyewall interface. Further, shifts inmore » wind direction suggest that turbines must rotate or yaw faster than current practice. Although current design standards omit mention of wind direction change across the rotor layer, large values (15–50°) suggest that veer should be considered.« less

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

    Yu, Bingbin; Karr, Dale G.; Song, Huimin

    It is a fact that developing offshore wind energy has become more and more serious worldwide in recent years. Many of the promising offshore wind farm locations are in cold regions that may have ice cover during wintertime. The challenge of possible ice loads on offshore wind turbines raises the demand of modeling capacity of dynamic wind turbine response under the joint action of ice, wind, wave, and current. The simulation software FAST is an open source computer-aided engineering (CAE) package maintained by the National Renewable Energy Laboratory. In this paper, a new module of FAST for assessing the dynamicmore » response of offshore wind turbines subjected to ice forcing is presented. In the ice module, several models are presented which involve both prescribed forcing and coupled response. For conditions in which the ice forcing is essentially decoupled from the structural response, ice forces are established from existing models for brittle and ductile ice failure. For conditions in which the ice failure and the structural response are coupled, such as lock-in conditions, a rate-dependent ice model is described, which is developed in conjunction with a new modularization framework for FAST. In this paper, analytical ice mechanics models are presented that incorporate ice floe forcing, deformation, and failure. For lower speeds, forces slowly build until the ice strength is reached and ice fails resulting in a quasi-static condition. For intermediate speeds, the ice failure can be coupled with the structural response and resulting in coinciding periods of the ice failure and the structural response. A third regime occurs at high speeds of encounter in which brittle fracturing of the ice feature occurs in a random pattern, which results in a random vibration excitation of the structure. An example wind turbine response is simulated under ice loading of each of the presented models. This module adds to FAST the capabilities for analyzing the response of wind turbines subjected to forces resulting from ice impact on the turbine support structure. The conditions considered in this module are specifically addressed in the International Organization for Standardization (ISO) standard 19906:2010 for arctic offshore structures design consideration. Special consideration of lock-in vibrations is required due to the detrimental effects of such response with regard to fatigue and foundation/soil response. Finally, the use of FAST for transient, time domain simulation with the new ice module is well suited for such analyses.« less

  19. Marine Fouling Assemblages on Offshore Gas Platforms in the Southern North Sea: Effects of Depth and Distance from Shore on Biodiversity.

    PubMed

    van der Stap, Tim; Coolen, Joop W P; Lindeboom, Han J

    2016-01-01

    Offshore platforms are known to act as artificial reefs, though there is on-going debate on whether this effect is beneficial or harmful for the life in the surrounding marine environment. Knowing what species exist on and around the offshore platforms and what environmental variables influence this species assemblage is crucial for a better understanding of the impact of offshore platforms on marine life. Information on this is limited for offshore platforms in the southern North Sea. This study aims to fill this gap in our knowledge and to determine how the composition and the abundance of species assemblages changes with depth and along a distance-from-shore gradient. The species assemblages on five offshore gas platforms in the southern North Sea have been inventoried using Remotely Operated Vehicles inspection footage. A total of 30 taxa were identified. A Generalised Additive Model of the species richness showed a significant non-linear relation with water depth (p = 0.001): from a low richness in shallow waters it increases with depth until 15-20 m, after which richness decreases again. Using PERMANOVA, water depth (p≤0.001), community age (p≤0.001) and the interaction between distance from shore and community age (p≤0.001) showed a significant effect on the species assemblages. Future research should focus on the effect additional environmental variables have on the species assemblages.

  20. Coastal Wind Profiles In The Mediterranean Area From A Wind Lidar During A Two Year Period

    NASA Astrophysics Data System (ADS)

    Gullì, Daniel; Avolio, Elenio; Calidonna, Claudia Roberta; Lo Feudo, Teresa; Torcasio, Rosa Claudia; Sempreviva, Anna Maria

    2017-04-01

    Reliable measurements of vertical profiles of wind speed and direction are the basis for testing models and methodologies of use for wind energy assessment. Modelling coastal areas further introduce the challenge of the coastal discontinuity, which is often not accurately resolved in meso-scale numerical model. Here, we present the analysis of two year of 10-minute averaged wind speed and direction vertical profiles collected during a two-year period from a Wind- lidar ZEPHIR 300® at a coastal suburban area. The lidar is located at the SUPER SITE of CNR-ISAC section of Lamezia Terme, Italy and both dataset and site are unique in the Mediterranean area. The instrument monitors at 10 vertical levels, from 10 m up to 300 m. The analysis is classified according to season, and wind directions for offshore and offshore flow. For onshore flow, we note an atmospheric layer at around 100 m that likely represents the effect an internal boundary layer caused by the sharp coastal discontinuity of the surface characteristics. For offshore flows, the profiles show a layer ranging between 80m and 100m, which might be ascribed to the land night time boundary layer combined to the impact of the building around the mast.

  1. Passive wide spectrum harmonic filter for adjustable speed drives in oil and gas industry

    NASA Astrophysics Data System (ADS)

    Al Jaafari, Khaled Ali

    Non-linear loads such as variable speed drives constitute the bulky load of oil and gas industry power systems. They are widely used in driving induction and permanent magnet motors for variable speed applications. That is because variable speed drives provide high static and dynamic performance. Moreover, they are known of their high energy efficiency and high motion quality, and high starting torque. However, these non-linear loads are main sources of current and voltage harmonics and lower the quality of electric power system. In fact, it is the six-pulse and twelve-pulse diode and thyristor rectifiers that spoil the AC power line with the dominant harmonics (5th, 7th, 11th). They provide DC voltage to the inverter of the variable speed drives. Typical problems that arise from these harmonics are Harmonic resonances', harmonic losses, interference with electronic equipment, and line voltage distortion at the Point of Common Coupling (PCC). Thus, it is necessary to find efficient, reliable, and economical harmonic filters. The passive filters have definite advantage over active filters in terms of components count, cost and reliability. Reliability and maintenance is a serious issue in drilling rigs which are located in offshore and onshore with extreme operating conditions. Passive filters are tuned to eliminate a certain frequency and therefore there is a need to equip the system with more than one passive filter to eliminate all unwanted frequencies. An alternative solution is Wide Spectrum Harmonic passive filter. The wide spectrum harmonic filters are becoming increasingly popular in these applications and found to overcome some of the limitations of conventional tuned passive filter. The most important feature of wide spectrum harmonic passive filters is that only one capacitor is required to filter a wide range of harmonics. Wide spectrum filter is essentially a low-pass filter for the harmonic at fundamental frequency. It can also be considered as a single-stage passive filter plus input and output inductors. The work proposed gives a complete analysis of wide spectrum harmonic passive filters, the methodology to choose its parameters according to the operational condition, effect of load and source inductance on its characteristics. Also, comparison of the performance of the wide band passive filter with tuned filter is given. The analyses are supported with the simulation results and were verified experimentally. The analysis given in this thesis will be useful for the selection of proper wide spectrum harmonic filters for harmonic mitigation applications in oil and gas industry.

  2. 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

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

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

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

    2012-06-01

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

  4. 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

  5. Development of environmental impact monitoring protocol for offshore carbon capture and storage (CCS): A biological perspective

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

    Kim, Hyewon, E-mail: hyewon@ldeo.columbia.edu; Kim, Yong Hoon, E-mail: Yong.Kim@rpsgroup.com; Kang, Seong-Gil, E-mail: kangsg@kriso.re.kr

    Offshore geologic storage of carbon dioxide (CO{sub 2}), known as offshore carbon capture and sequestration (CCS), has been under active investigation as a safe, effective mitigation option for reducing CO{sub 2} levels from anthropogenic fossil fuel burning and climate change. Along with increasing trends in implementation plans and related logistics on offshore CCS, thorough risk assessment (i.e. environmental impact monitoring) needs to be conducted to evaluate potential risks, such as CO{sub 2} gas leakage at injection sites. Gas leaks from offshore CCS may affect the physiology of marine organisms and disrupt certain ecosystem functions, thereby posing an environmental risk. Here,more » we synthesize current knowledge on environmental impact monitoring of offshore CCS with an emphasis on biological aspects and provide suggestions for better practice. Based on our critical review of preexisting literatures, this paper: 1) discusses key variables sensitive to or indicative of gas leakage by summarizing physico-chemical and ecological variables measured from previous monitoring cruises on offshore CCS; 2) lists ecosystem and organism responses to a similar environmental condition to CO{sub 2} leakage and associated impacts, such as ocean acidification and hypercapnia, to predict how they serve as responsive indicators of short- and long-term gas exposure, and 3) discusses the designs of the artificial gas release experiments in fields and the best model simulation to produce realistic leakage scenarios in marine ecosystems. Based on our analysis, we suggest that proper incorporation of biological aspects will provide successful and robust long-term monitoring strategies with earlier detection of gas leakage, thus reducing the risks associated with offshore CCS. - Highlights: • This paper synthesizes the current knowledge on environmental impact monitoring of offshore Carbon Capture and Sequestration (CCS). • Impacts of CO{sub 2} leakage (ocean acidification, hypercapnia) on marine organisms and ecosystems are discussed. • Insights and recommendations on EIA monitoring for CCS operations are proposed specifically in marine ecosystem perspective.« less

  6. Observed drag coefficients in high winds in the near offshore of the South China Sea

    DOE PAGES

    Bi, Xueyan; Liu, Yangan; Gao, Zhiqiu; ...

    2015-07-14

    This paper investigates the relationships between friction velocity, 10 m drag coefficient, and 10 m wind speed using data collected at two offshore observation towers (one over the sea and the other on an island) from seven typhoon episodes in the South China Sea from 2008 to 2014. The two towers were placed in areas with different water depths along a shore-normal line. The depth of water at the tower over the sea averages about 15 m, and the depth of water near the island is about 10 m. The observed maximum 10 min average wind speed at a heightmore » of 10 m is about 32 m s⁻¹. Momentum fluxes derived from three methods (eddy covariance, inertial dissipation, and flux profile) are compared. The momentum fluxes derived from the flux profile method are larger (smaller) over the sea (on the island) than those from the other two methods. The relationship between the 10 m drag coefficient and the 10 m wind speed is examined by use of the data obtained by the eddy covariance method. The drag coefficient first decreases with increasing 10 m wind speed when the wind speeds are 5–10 m s⁻¹, then increases and reaches a peak value of 0.002 around a wind speed of 18 m s⁻¹. The drag coefficient decreases with increasing 10 m wind speed when 10 m wind speeds are 18–27 m s⁻¹. A comparison of the measurements from the two towers shows that the 10 m drag coefficient from the tower in 10 m water depth is about 40% larger than that from the tower in 15 m water depth when the 10 m wind speed is less than 10 m s⁻¹. Above this, the difference in the 10 m drag coefficients of the two towers disappears.« less

  7. Observed drag coefficients in high winds in the near offshore of the South China Sea

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

    Bi, Xueyan; Liu, Yangan; Gao, Zhiqiu

    This paper investigates the relationships between friction velocity, 10 m drag coefficient, and 10 m wind speed using data collected at two offshore observation towers (one over the sea and the other on an island) from seven typhoon episodes in the South China Sea from 2008 to 2014. The two towers were placed in areas with different water depths along a shore-normal line. The depth of water at the tower over the sea averages about 15 m, and the depth of water near the island is about 10 m. The observed maximum 10 min average wind speed at a heightmore » of 10 m is about 32 m s⁻¹. Momentum fluxes derived from three methods (eddy covariance, inertial dissipation, and flux profile) are compared. The momentum fluxes derived from the flux profile method are larger (smaller) over the sea (on the island) than those from the other two methods. The relationship between the 10 m drag coefficient and the 10 m wind speed is examined by use of the data obtained by the eddy covariance method. The drag coefficient first decreases with increasing 10 m wind speed when the wind speeds are 5–10 m s⁻¹, then increases and reaches a peak value of 0.002 around a wind speed of 18 m s⁻¹. The drag coefficient decreases with increasing 10 m wind speed when 10 m wind speeds are 18–27 m s⁻¹. A comparison of the measurements from the two towers shows that the 10 m drag coefficient from the tower in 10 m water depth is about 40% larger than that from the tower in 15 m water depth when the 10 m wind speed is less than 10 m s⁻¹. Above this, the difference in the 10 m drag coefficients of the two towers disappears.« less

  8. Systematically variable planktonic carbon metabolism along a land-to-lake gradient in a Great Lakes coastal zone.

    PubMed

    Weinke, Anthony D; Kendall, Scott T; Kroll, Daniel J; Strickler, Eric A; Weinert, Maggie E; Holcomb, Thomas M; Defore, Angela A; Dila, Deborah K; Snider, Michael J; Gereaux, Leon C; Biddanda, Bopaiah A

    2014-11-01

    During the summers of 2002-2013, we measured rates of carbon metabolism in surface waters of six sites across a land-to-lake gradient from the upstream end of drowned river-mouth Muskegon Lake (ML) (freshwater estuary) to 19 km offshore in Lake Michigan (LM) (a Great Lake). Despite considerable inter-year variability, the average rates of gross production (GP), respiration (R) and net production (NP) across ML (604 ± 58, 222 ± 22 and 381 ± 52 µg C L -1 day -1 , respectively) decreased steeply in the furthest offshore LM site (22 ± 3, 55 ± 17 and -33 ± 15 µg C L -1 day -1 , respectively). Along this land-to-lake gradient, GP decreased by 96 ± 1%, whereas R only decreased by 75 ± 9%, variably influencing the carbon balance along this coastal zone. All ML sites were consistently net autotrophic (mean GP:R = 2.7), while the furthest offshore LM site was net heterotrophic (mean GP:R = 0.4). Our study suggests that pelagic waters of this Great Lakes coastal estuary are net carbon sinks that transition into net carbon sources offshore. Reactive and dynamic estuarine coastal zones everywhere may contribute similarly to regional and global carbon cycles.

  9. A vector auto-regressive model for onshore and offshore wind synthesis incorporating meteorological model information

    NASA Astrophysics Data System (ADS)

    Hill, D.; Bell, K. R. W.; McMillan, D.; Infield, D.

    2014-05-01

    The growth of wind power production in the electricity portfolio is striving to meet ambitious targets set, for example by the EU, to reduce greenhouse gas emissions by 20% by 2020. Huge investments are now being made in new offshore wind farms around UK coastal waters that will have a major impact on the GB electrical supply. Representations of the UK wind field in syntheses which capture the inherent structure and correlations between different locations including offshore sites are required. Here, Vector Auto-Regressive (VAR) models are presented and extended in a novel way to incorporate offshore time series from a pan-European meteorological model called COSMO, with onshore wind speeds from the MIDAS dataset provided by the British Atmospheric Data Centre. Forecasting ability onshore is shown to be improved with the inclusion of the offshore sites with improvements of up to 25% in RMS error at 6 h ahead. In addition, the VAR model is used to synthesise time series of wind at each offshore site, which are then used to estimate wind farm capacity factors at the sites in question. These are then compared with estimates of capacity factors derived from the work of Hawkins et al. (2011). A good degree of agreement is established indicating that this synthesis tool should be useful in power system impact studies.

  10. Variability of sea-surface temperature in the South Atlantic bight as observed from satellite: Implications for offshore-spawning fish

    NASA Astrophysics Data System (ADS)

    Stegmann, P. M.; Yoder, J. A.

    1996-06-01

    We examined full-resolution (1 × 1 km) satellite images of sea-surface temperature (SST) over five consecutive years (1981-1986) covering the Atlantic menhaden ( Brevoortia tyrannus) recruitment period (November-April) in the SABRE (South Atlantic Bight recruitment experiment) study site. The results of our image time series indicated two processes which could be possible mechanisms for the onshore transport of fish larvae into coastal regions. One is the influx of warm Gulf Stream water that oscillates in and out of the Carolina Bays. These oscillations occurred throughout the study period over distances of 20-40 km and on time-scales as short as two days. The other is a tongue of relatively cold water located adjacent to the Virginia coast that moved southward and penetrated into Onslow Bay between January and March. Previous studies showed that Atlantic menhaden preferentially spawn in 18-22°C waters on the outer shelf. On the assumption that the 18°C isotherm (18DI) indicates where high larval abundance may occur, we used AVHRR-SST imagery to track the onshore-offshore movement of the 18DI along a transect extending onshore-offshore in Onslow Bay. Owing to seasonal warming and cooling, this isotherm was always found closest to the coast in early November, reached maximum offshore displacement by January/March, and then moved onshore again in April/May. Our results also showed that the position of this isotherm can move offshore or onshore in a matter of a few days. An important influence and possibly the major cause of the higher frequency displacements of the 18DI are Gulf Stream meanders or filaments moving through Onslow Bay. Our estimates of onshore isotherm speeds as determined from satellite SST ranged from 2 to 25 cm s -1 and are within the same order as those calculated by physical models or larval age determinations. If the onshore pulses of warm Gulf Stream water are indeed a mode by which menhaden larvae are transported cross-shelf, then the use of satellite-based observations to determine their frequency and onshore extent, as done in the present study, is a useful tool to study variations in fish recruitment.

  11. Marine Fouling Assemblages on Offshore Gas Platforms in the Southern North Sea: Effects of Depth and Distance from Shore on Biodiversity

    PubMed Central

    van der Stap, Tim; Coolen, Joop W. P.; Lindeboom, Han J.

    2016-01-01

    Offshore platforms are known to act as artificial reefs, though there is on-going debate on whether this effect is beneficial or harmful for the life in the surrounding marine environment. Knowing what species exist on and around the offshore platforms and what environmental variables influence this species assemblage is crucial for a better understanding of the impact of offshore platforms on marine life. Information on this is limited for offshore platforms in the southern North Sea. This study aims to fill this gap in our knowledge and to determine how the composition and the abundance of species assemblages changes with depth and along a distance-from-shore gradient. The species assemblages on five offshore gas platforms in the southern North Sea have been inventoried using Remotely Operated Vehicles inspection footage. A total of 30 taxa were identified. A Generalised Additive Model of the species richness showed a significant non-linear relation with water depth (p = 0.001): from a low richness in shallow waters it increases with depth until 15–20 m, after which richness decreases again. Using PERMANOVA, water depth (p≤0.001), community age (p≤0.001) and the interaction between distance from shore and community age (p≤0.001) showed a significant effect on the species assemblages. Future research should focus on the effect additional environmental variables have on the species assemblages. PMID:26745870

  12. 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

  13. 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

  14. Seabird aggregative patterns: a new tool for offshore wind energy risk assessment.

    PubMed

    Christel, Isadora; Certain, Grégoire; Cama, Albert; Vieites, David R; Ferrer, Xavier

    2013-01-15

    The emerging development of offshore wind energy has raised public concern over its impact on seabird communities. There is a need for an adequate methodology to determine its potential impacts on seabirds. Environmental Impact Assessments (EIAs) are mostly relying on a succession of plain density maps without integrated interpretation of seabird spatio-temporal variability. Using Taylor's power law coupled with mixed effect models, the spatio-temporal variability of species' distributions can be synthesized in a measure of the aggregation levels of individuals over time and space. Applying the method to a seabird aerial survey in the Ebro Delta, NW Mediterranean Sea, we were able to make an explicit distinction between transitional and feeding areas to define and map the potential impacts of an offshore wind farm project. We use the Ebro Delta study case to discuss the advantages of potential impacts maps over density maps, as well as to illustrate how these potential impact maps can be applied to inform on concern levels, optimal EIA design and monitoring in the assessment of local offshore wind energy projects. Copyright © 2012 Elsevier Ltd. All rights reserved.

  15. Sideband Algorithm for Automatic Wind Turbine Gearbox Fault Detection and Diagnosis: Preprint

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

    Zappala, D.; Tavner, P.; Crabtree, C.

    2013-01-01

    Improving the availability of wind turbines (WT) is critical to minimize the cost of wind energy, especially for offshore installations. As gearbox downtime has a significant impact on WT availabilities, the development of reliable and cost-effective gearbox condition monitoring systems (CMS) is of great concern to the wind industry. Timely detection and diagnosis of developing gear defects within a gearbox is an essential part of minimizing unplanned downtime of wind turbines. Monitoring signals from WT gearboxes are highly non-stationary as turbine load and speed vary continuously with time. Time-consuming and costly manual handling of large amounts of monitoring data representmore » one of the main limitations of most current CMSs, so automated algorithms are required. This paper presents a fault detection algorithm for incorporation into a commercial CMS for automatic gear fault detection and diagnosis. The algorithm allowed the assessment of gear fault severity by tracking progressive tooth gear damage during variable speed and load operating conditions of the test rig. Results show that the proposed technique proves efficient and reliable for detecting gear damage. Once implemented into WT CMSs, this algorithm can automate data interpretation reducing the quantity of information that WT operators must handle.« less

  16. 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.

  17. Study on dynamic characteristics of hydraulic pumping unit on offshore platform

    NASA Astrophysics Data System (ADS)

    Chang, Zong-yu; Yu, Yan-qun; Qi, Yao-guang

    2017-12-01

    A new technology of offshore oil rod pumping production is developed for offshore heavy oil recovery. A new type of miniature hydraulic pumping unit with long-stroke, low pumping speed and compact structure is designed based on the spatial characteristics of offshore platforms. By combining the strengths of sinusoidal velocity curve and trapezoidal velocity curve, a kinematical model of the acceleration, the velocity and displacement of the pumping unit's hanging point is established. The results show that the pumping unit has good kinematic characteristics of smooth motion and small dynamic load. The multi-degree-of-freedom dynamic model of the single-well pumping unit is established. The first and second order natural frequencies of the sucker rod string subsystem and the pumping unit subsystem are studied. The results show that the first and the second order natural frequencies among the pumping rod string, pumping unit-platform subsystem and the dynamic excitation have differences over 5 times from each other, indicating that resonance phenomenon will not appear during the operation and the dynamic requirements for field use are met in the system.

  18. Multibrid technology - a significant step to multi-megawatt wind turbines

    NASA Astrophysics Data System (ADS)

    Siegfriedsen, S.; Böhmeke, G.

    1998-12-01

    To fulfil the significant economic potential for offshore wind energy, it is essential that the largest possible installations must be allowed to come into use. Infrastructure investments for foundations and energy transport are only slightly dependent on the size of the installation, so these costs become proportionally smaller as the installed power output increases. This article puts forward a technologically novel type of development for a drive train design, specifically introduced for a 5 MW installation. The concept is especially suited for offshore application and the components are designed for this purpose. The usual way of modifying onshore plants partially and using them in the sea has been left with the present proposals. The design comprises a single-stage planetary gear, into which the rotor bearing is integrated, and a generator rotating at slow speed. Both components are assembled into a compact unit and are characterized by low wear and complete enclosure. New solutions are also proposed for the cooling of the machinery and the yaw system, offering particular advantages in offshore application. The advantages of the new technology are brought out from system comparisons with both a conventional plant configuration with a multi-stage gear and a high-speed generator, and also a combination with a direct drive generator in the 1·5 MW class. A particular design solution, worked through for a 5 MW installation, is presented and described in detail. At 31 kg kW-1, the specific tower head mass achieves a value that has not previously been realized in this power output class. As a result of the advantages that are brought together by this technology, both investment and operating costs are lowered, particularly for offshore applications. Implementation of this technology can thus provide a further stimulus for progress in wind energy utilization. Copyright

  19. 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

  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; 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

  1. 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

  2. A surface ice module for wind turbine dynamic response simulation using FAST

    DOE PAGES

    Yu, Bingbin; Karr, Dale G.; Song, Huimin; ...

    2016-06-03

    It is a fact that developing offshore wind energy has become more and more serious worldwide in recent years. Many of the promising offshore wind farm locations are in cold regions that may have ice cover during wintertime. The challenge of possible ice loads on offshore wind turbines raises the demand of modeling capacity of dynamic wind turbine response under the joint action of ice, wind, wave, and current. The simulation software FAST is an open source computer-aided engineering (CAE) package maintained by the National Renewable Energy Laboratory. In this paper, a new module of FAST for assessing the dynamicmore » response of offshore wind turbines subjected to ice forcing is presented. In the ice module, several models are presented which involve both prescribed forcing and coupled response. For conditions in which the ice forcing is essentially decoupled from the structural response, ice forces are established from existing models for brittle and ductile ice failure. For conditions in which the ice failure and the structural response are coupled, such as lock-in conditions, a rate-dependent ice model is described, which is developed in conjunction with a new modularization framework for FAST. In this paper, analytical ice mechanics models are presented that incorporate ice floe forcing, deformation, and failure. For lower speeds, forces slowly build until the ice strength is reached and ice fails resulting in a quasi-static condition. For intermediate speeds, the ice failure can be coupled with the structural response and resulting in coinciding periods of the ice failure and the structural response. A third regime occurs at high speeds of encounter in which brittle fracturing of the ice feature occurs in a random pattern, which results in a random vibration excitation of the structure. An example wind turbine response is simulated under ice loading of each of the presented models. This module adds to FAST the capabilities for analyzing the response of wind turbines subjected to forces resulting from ice impact on the turbine support structure. The conditions considered in this module are specifically addressed in the International Organization for Standardization (ISO) standard 19906:2010 for arctic offshore structures design consideration. Special consideration of lock-in vibrations is required due to the detrimental effects of such response with regard to fatigue and foundation/soil response. Finally, the use of FAST for transient, time domain simulation with the new ice module is well suited for such analyses.« less

  3. Offshore Standards and Research Validation | Wind | NREL

    Science.gov Websites

    Research Capabilities 35 years of wind turbine testing experience Custom high speed data acquisition system turbine testing expertise, NREL has developed instrumentation for high resolution measurements at sea by and technicians, who conduct a wide range of field measurements to verify turbine performance and

  4. Optimization of Installation, Operation and Maintenance at Offshore Wind Projects in the U.S.: Review and Modeling of Existing and Emerging Approaches

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

    Baldock, Nick; Sevilla, Fernando; Redfern, Robin

    The United States Department of Energy (DOE) awarded a grant to GL Garrad Hassan (GL GH) to investigate the logistics, opportunities, and costs associated with existing and emerging installation and operation and maintenance (O&M) activities at offshore wind projects as part of the DOE’s program to reduce barriers facing offshore wind project development in the United States (U.S.). This report (the Report) forms part of Subtopic 5.3 “Optimized Installation, Operation and Maintenance Strategies Study” which in turn is part of the “Removing Market Barriers in U.S. Offshore Wind” set of projects for the DOE. The purpose of Subtopic 5.3 ismore » to aid and facilitate informed decision-making regarding installation and O&M during the development, installation, and operation of offshore wind projects in order to increase efficiency and reduce the levelized cost of energy (LCoE). Given the large area of U.S. territorial waters, the generally higher mean wind speeds offshore, and the proximity to the coast of many large U.S. cities, offshore wind power has the potential to become a significant contributor of energy to U.S. markets. However, for the U.S. to ensure that the development of offshore wind energy projects is carried out in an efficient and cost-effective manner, it is important to be cognizant of the current and emerging practices in both the domestic and international offshore wind energy industries. The U.S. can harness the experience gained globally and combine this with the skills and assets of an already sizeable onshore wind industry, as well as the resources of a mature offshore oil and gas industry, to develop a strong offshore wind sector. The work detailed in this report is aimed at assisting with that learning curve, particularly in terms of offshore specific installation and O&M activities. This Report and the Installation and O&M LCoE Analysis Tool, which were developed together by GL GH as part of this study, allow readers to identify, model and probe the economic merits and sensitivities of various approaches to construction and O&M practices, using illustrative offshore projects across a wide range of alternative offshore development areas located in U.S. waters. The intention is to assist decision-makers in clearly understanding the relative economic benefits of both conventional and novel construction installation methodologies and maintenance techniques within the critical parameters of a Project’s LCoE.« less

  5. Beach-dune dynamics: Spatio-temporal patterns of aeolian sediment transport under complex offshore airflow

    NASA Astrophysics Data System (ADS)

    Lynch, K.; Jackson, D.; Delgado-Fernandez, I.; Cooper, J. A.; Baas, A. C.; Beyers, M.

    2010-12-01

    This study examines sand transport and wind speed across a beach at Magilligan Strand, Northern Ireland, under offshore wind conditions. Traditionally the offshore component of local wind regimes has been ignored when quantifying beach-dune sediment budgets, with the sheltering effect of the foredune assumed to prohibit grain entrainment on the adjoining beach. Recent investigations of secondary airflow patterns over coastal dunes have suggested this may not be the case, that the turbulent nature of the airflow in these zones enhances sediment transport potential. Beach sediment may be delivered to the dune toe by re-circulating eddies under offshore winds in coastal areas, which may explain much of the dynamics of aeolian dunes on coasts where the dominant wind direction is offshore. The present study investigated aeolian sediment transport patterns under an offshore wind event. Empirical data were collected using load cell traps, for aeolian sediment transport, co-located with 3-D ultrasonic anemometers. The instrument positioning on the sub-aerial beach was informed by prior analysis of the airflow patterns using computational fluid dynamics. The array covered a total beach area of 90 m alongshore by 65 m cross-shore from the dune crest. Results confirm that sediment transport occurred in the ‘sheltered’ area under offshore winds. Over short time and space scales the nature of the transport is highly complex; however, preferential zones for sand entrainment may be identified. Alongshore spatial heterogeneity of sediment transport seems to show a relationship to undulations in the dune crest, while temporal and spatial variations may also be related to the position of the airflow reattachment zone. These results highlight the important feedbacks between flow characteristics and transport in a complex three dimensional surface.

  6. Seasonal and interannual cross-shelf transport over the Texas and Louisiana continental shelf

    NASA Astrophysics Data System (ADS)

    Thyng, Kristen M.; Hetland, Robert D.

    2018-05-01

    Numerical drifters are tracked in a hydrodynamic simulation of circulation over the Texas-Louisiana shelf to analyze patterns in cross-shelf transport of materials. While the important forcing mechanisms in the region (wind, river, and deep eddies) and associated flow patterns are known, the resultant material transport is less well understood. The primary metric used in the calculations is the percent of drifters released within a region that cross the 100 m isobath. Results of the analysis indicate that, averaged over the eleven years of the simulation, there are two regions on the shelf - over the Texas shelf during winter, and over the Louisiana shelf in summer - with increased seasonal probability for offshore transport. Among the two other distinct regions, the big bend region in Texas has increased probability for onshore transport, and the Mississippi Delta region has an increase in offshore transport, for both seasons. Some of these regions of offshore transport have marked interannual variability. This interannual variability is correlated to interannual changes in forcing conditions. Winter transport off of the Texas shelf is correlated with winter mean wind direction, with more northerly winds enhancing offshore transport; summer transport off the Louisiana shelf is correlated with Mississippi River discharge.

  7. Abundance and Genetic Diversity of Aerobic Anoxygenic Phototrophic Bacteria of Coastal Regions of the Pacific Ocean

    PubMed Central

    Ritchie, Anna E.

    2012-01-01

    Aerobic anoxygenic phototrophic (AAP) bacteria are photoheterotrophic microbes that are found in a broad range of aquatic environments. Although potentially significant to the microbial ecology and biogeochemistry of marine ecosystems, their abundance and genetic diversity and the environmental variables that regulate these properties are poorly understood. Using samples along nearshore/offshore transects from five disparate islands in the Pacific Ocean (Oahu, Molokai, Futuna, Aniwa, and Lord Howe) and off California, we show that AAP bacteria, as quantified by the pufM gene biomarker, are most abundant near shore and in areas with high chlorophyll or Synechococcus abundance. These AAP bacterial populations are genetically diverse, with most members belonging to the alpha- or gammaproteobacterial groups and with subclades that are associated with specific environmental variables. The genetic diversity of AAP bacteria is structured along the nearshore/offshore transects in relation to environmental variables, and uncultured pufM gene libraries suggest that nearshore communities are distinct from those offshore. AAP bacterial communities are also genetically distinct between islands, such that the stations that are most distantly separated are the most genetically distinct. Together, these results demonstrate that environmental variables regulate both the abundance and diversity of AAP bacteria but that endemism may also be a contributing factor in structuring these communities. PMID:22307290

  8. Wind energy resource modelling in Portugal and its future large-scale alteration due to anthropogenic induced climate changes =

    NASA Astrophysics Data System (ADS)

    Carvalho, David Joao da Silva

    The high dependence of Portugal from foreign energy sources (mainly fossil fuels), together with the international commitments assumed by Portugal and the national strategy in terms of energy policy, as well as resources sustainability and climate change issues, inevitably force Portugal to invest in its energetic self-sufficiency. The 20/20/20 Strategy defined by the European Union defines that in 2020 60% of the total electricity consumption must come from renewable energy sources. Wind energy is currently a major source of electricity generation in Portugal, producing about 23% of the national total electricity consumption in 2013. The National Energy Strategy 2020 (ENE2020), which aims to ensure the national compliance of the European Strategy 20/20/20, states that about half of this 60% target will be provided by wind energy. This work aims to implement and optimise a numerical weather prediction model in the simulation and modelling of the wind energy resource in Portugal, both in offshore and onshore areas. The numerical model optimisation consisted in the determination of which initial and boundary conditions and planetary boundary layer physical parameterizations options provide wind power flux (or energy density), wind speed and direction simulations closest to in situ measured wind data. Specifically for offshore areas, it is also intended to evaluate if the numerical model, once optimised, is able to produce power flux, wind speed and direction simulations more consistent with in situ measured data than wind measurements collected by satellites. This work also aims to study and analyse possible impacts that anthropogenic climate changes may have on the future wind energetic resource in Europe. The results show that the ECMWF reanalysis ERA-Interim are those that, among all the forcing databases currently available to drive numerical weather prediction models, allow wind power flux, wind speed and direction simulations more consistent with in situ wind measurements. It was also found that the Pleim-Xiu and ACM2 planetary boundary layer parameterizations are the ones that showed the best performance in terms of wind power flux, wind speed and direction simulations. This model optimisation allowed a significant reduction of the wind power flux, wind speed and direction simulations errors and, specifically for offshore areas, wind power flux, wind speed and direction simulations more consistent with in situ wind measurements than data obtained from satellites, which is a very valuable and interesting achievement. This work also revealed that future anthropogenic climate changes can negatively impact future European wind energy resource, due to tendencies towards a reduction in future wind speeds especially by the end of the current century and under stronger radiative forcing conditions.

  9. Computationally inexpensive approach for pitch control of offshore wind turbine on barge floating platform.

    PubMed

    Zuo, Shan; Song, Y D; Wang, Lei; Song, Qing-wang

    2013-01-01

    Offshore floating wind turbine (OFWT) has gained increasing attention during the past decade because of the offshore high-quality wind power and complex load environment. The control system is a tradeoff between power tracking and fatigue load reduction in the above-rated wind speed area. In allusion to the external disturbances and uncertain system parameters of OFWT due to the proximity to load centers and strong wave coupling, this paper proposes a computationally inexpensive robust adaptive control approach with memory-based compensation for blade pitch control. The method is tested and compared with a baseline controller and a conventional individual blade pitch controller with the "NREL offshore 5 MW baseline wind turbine" being mounted on a barge platform run on FAST and Matlab/Simulink, operating in the above-rated condition. It is shown that the advanced control approach is not only robust to complex wind and wave disturbances but adaptive to varying and uncertain system parameters as well. The simulation results demonstrate that the proposed method performs better in reducing power fluctuations, fatigue loads and platform vibration as compared to the conventional individual blade pitch control.

  10. Computationally Inexpensive Approach for Pitch Control of Offshore Wind Turbine on Barge Floating Platform

    PubMed Central

    Zuo, Shan; Song, Y. D.; Wang, Lei; Song, Qing-wang

    2013-01-01

    Offshore floating wind turbine (OFWT) has gained increasing attention during the past decade because of the offshore high-quality wind power and complex load environment. The control system is a tradeoff between power tracking and fatigue load reduction in the above-rated wind speed area. In allusion to the external disturbances and uncertain system parameters of OFWT due to the proximity to load centers and strong wave coupling, this paper proposes a computationally inexpensive robust adaptive control approach with memory-based compensation for blade pitch control. The method is tested and compared with a baseline controller and a conventional individual blade pitch controller with the “NREL offshore 5 MW baseline wind turbine” being mounted on a barge platform run on FAST and Matlab/Simulink, operating in the above-rated condition. It is shown that the advanced control approach is not only robust to complex wind and wave disturbances but adaptive to varying and uncertain system parameters as well. The simulation results demonstrate that the proposed method performs better in reducing power fluctuations, fatigue loads and platform vibration as compared to the conventional individual blade pitch control. PMID:24453834

  11. Development of a 5 MW reference gearbox for offshore wind turbines: 5 MW reference gearbox

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

    Nejad, Amir Rasekhi; Guo, Yi; Gao, Zhen

    2015-07-27

    This paper presents detailed descriptions, modeling parameters and technical data of a 5MW high-speed gearbox developed for the National Renewable Energy Laboratory offshore 5MW baseline wind turbine. The main aim of this paper is to support the concept studies and research for large offshore wind turbines by providing a baseline gearbox model with detailed modeling parameters. This baseline gearbox follows the most conventional design types of those used in wind turbines. It is based on the four-point supports: two main bearings and two torque arms. The gearbox consists of three stages: two planetary and one parallel stage gears. The gearmore » ratios among the stages are calculated in a way to obtain the minimum gearbox weight. The gearbox components are designed and selected based on the offshore wind turbine design codes and validated by comparison to the data available from large offshore wind turbine prototypes. All parameters required to establish the dynamic model of the gearbox are then provided. Moreover, a maintenance map indicating components with high to low probability of failure is shown. The 5 MW reference gearbox can be used as a baseline for research on wind turbine gearboxes and comparison studies. It can also be employed in global analysis tools to represent a more realistic model of a gearbox in a coupled analysis.« less

  12. Statistical downscaling of IPCC sea surface wind and wind energy predictions for U.S. east coastal ocean, Gulf of Mexico and Caribbean Sea

    NASA Astrophysics Data System (ADS)

    Yao, Zhigang; Xue, Zuo; He, Ruoying; Bao, Xianwen; Song, Jun

    2016-08-01

    A multivariate statistical downscaling method is developed to produce regional, high-resolution, coastal surface wind fields based on the IPCC global model predictions for the U.S. east coastal ocean, the Gulf of Mexico (GOM), and the Caribbean Sea. The statistical relationship is built upon linear regressions between the empirical orthogonal function (EOF) spaces of a cross- calibrated, multi-platform, multi-instrument ocean surface wind velocity dataset (predictand) and the global NCEP wind reanalysis (predictor) over a 10 year period from 2000 to 2009. The statistical relationship is validated before applications and its effectiveness is confirmed by the good agreement between downscaled wind fields based on the NCEP reanalysis and in-situ surface wind measured at 16 National Data Buoy Center (NDBC) buoys in the U.S. east coastal ocean and the GOM during 1992-1999. The predictand-predictor relationship is applied to IPCC GFDL model output (2.0°×2.5°) of downscaled coastal wind at 0.25°×0.25° resolution. The temporal and spatial variability of future predicted wind speeds and wind energy potential over the study region are further quantified. It is shown that wind speed and power would significantly be reduced in the high CO2 climate scenario offshore of the mid-Atlantic and northeast U.S., with the speed falling to one quarter of its original value.

  13. 75 FR 57388 - Special Local Regulations for Marine Events; Patuxent River, Solomons, MD

    Federal Register 2010, 2011, 2012, 2013, 2014

    2010-09-21

    ... the ``Chesapeake Challenge'' power boat races, a marine event to be held on the waters of the Patuxent... Transportation, West Building Ground Floor, Room W12-140, 1200 New Jersey Avenue, SE., Washington, DC 20590... life, property and the environment against the hazards associated with high- speed offshore power boat...

  14. Sea surface temperature of the coastal zones of France

    NASA Technical Reports Server (NTRS)

    Deschamps, P. Y.; Verger, F.; Monget, J. M.; Crepon, M. (Principal Investigator); Frouin, R.; Cassanet, J.; Wald, L.

    1980-01-01

    The results of an investigation to map the various thermal gradients in the coastal zones of France are presented. Paricular emphasis is given to the natural phenomena and man made thermal effluents. It is shown that a close correlation exist between wind speed direction and the offshore width of the effluent.

  15. A Global Tech Ed View from Central Europe

    ERIC Educational Resources Information Center

    Millson, David

    2004-01-01

    One often hears about the need to prepare American technical education students to compete in the burgeoning global manufacturing community. In addition, one hears experts say that learning certain programs and techniques can put the youth first in line for jobs where beating the offshore competition depends on production speed, product quality,…

  16. 77 FR 63722 - Special Local Regulations; Palm Beach World Championship, Atlantic Ocean; Jupiter, FL

    Federal Register 2010, 2011, 2012, 2013, 2014

    2012-10-17

    ...-AA08 Special Local Regulations; Palm Beach World Championship, Atlantic Ocean; Jupiter, FL AGENCY... offshore of Jupiter, Florida during the Palm Beach World Championship, a high speed power boat race. The Palm Beach World Championship is scheduled to take place on Friday, October 19, and Sunday, October 21...

  17. Atmospheric stability effects on wind farm performance using large-eddy simulation

    NASA Astrophysics Data System (ADS)

    Archer, C. L.; Ghaisas, N.; Xie, S.

    2014-12-01

    Atmospheric stability has been recently found to have significant impacts on wind farm performance, especially since offshore and onshore wind farms are known to operate often under non-neutral conditions. Recent field observations have revealed that changes in stability are accompanied by changes in wind speed, direction, and turbulent kinetic energy (TKE). In order to isolate the effects of stability, large-eddy simulations (LES) are performed under neutral, stable, and unstable conditions, keeping the wind speed and direction unchanged at a fixed height. The Lillgrund wind farm, comprising of 48 turbines, is studied in this research with the Simulator for Offshore/Onshore Wind Farm Applications (SOWFA) developed by the National Renewable Energy Laboratory. Unlike most previous numerical simulations, this study does not impose periodic boundary conditions and therefore is ideal for evaluating the effects of stability in large, but finite, wind farms. Changes in power generation, velocity deficit, rate of wake recovery, TKE, and surface temperature are quantified as a function of atmospheric stability. The sensitivity of these results to wind direction is also discussed.

  18. Santa Ana Winds Over Los Angeles

    NASA Image and Video Library

    2003-01-08

    High-resolution ocean surface wind data from NASA's Quick Scatterometer (QuikScat) illustrate the strength of Santa Ana winds that pounded Southern California this week, causing damage and spreading brush fires. The colored arrows represent various ranges of wind speed, which were still well in excess of 30 knots (34 miles per hour), even after reaching the ocean and weakening. Santa Ana winds are offshore and down-slope winds unique to Southern California that are usually channeled through mountain gaps. These Santa Ana winds extend more than 500 kilometers (310 miles) offshore before changing direction to flow along the shore. The wind speeds and directions are retrieved from range-compressed backscatter data measured by QuikScat that has much higher spatial resolution than QuikScat's standard data products. Useful applications of high-resolution science-quality wind products derived from range-compressed backscatter have been demonstrated in two scientific papers: one on Hurricane Floyd and the other on Catalina Eddies. This is the first demonstration on near-real-time retrieval applications. http://photojournal.jpl.nasa.gov/catalog/PIA03892

  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. Validation of the Dynamic Wake Meander model with focus on tower loads

    NASA Astrophysics Data System (ADS)

    Larsen, T. J.; Larsen, G. C.; Pedersen, M. M.; Enevoldsen, K.; Madsen, H. A.

    2017-05-01

    This paper presents a comparison between measured and simulated tower loads for the Danish offshore wind farm Nysted 2. Previously, only limited full scale experimental data containing tower load measurements have been published, and in many cases the measurements include only a limited range of wind speeds. In general, tower loads in wake conditions are very challenging to predict correctly in simulations. The Nysted project offers an improved insight to this field as six wind turbines located in the Nysted II wind farm have been instrumented to measure tower top and tower bottom moments. All recorded structural data have been organized in a database, which in addition contains relevant wind turbine SCADA data as well as relevant meteorological data - e.g. wind speed and wind direction - from an offshore mast located in the immediate vicinity of the wind farm. The database contains data from a period extending over a time span of more than 3 years. Based on the recorded data basic mechanisms driving the increased loading experienced by wind turbines operating in offshore wind farm conditions have been identified, characterized and modeled. The modeling is based on the Dynamic Wake Meandering (DWM) approach in combination with the state-of-the-art aeroelastic model HAWC2, and has previously as well as in this study shown good agreement with the measurements. The conclusions from the study have several parts. In general the tower bending and yaw loads show a good agreement between measurements and simulations. However, there are situations that are still difficult to match. One is tower loads of single-wake operation near rated ambient wind speed for single wake situations for spacing’s around 7-8D. A specific target of the study was to investigate whether the largest tower fatigue loads are associated with a certain downstream distance. This has been identified in both simulations and measurements, though a rather flat optimum is seen in the measurements.

  1. 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.

  2. Results of Sustained Observations from SABSOON

    NASA Astrophysics Data System (ADS)

    Seim, H.; Nelson, J.

    2001-12-01

    A variety of meteorological and oceanographic data being collected on the continental shelf off Georgia by the South Atlantic Bight Synoptic Offshore Observational Network (SABSOON) permit an examination of episodic and seasonal phenomena operative on the shelf. Data are collected at offshore platforms and transmitted to shore in near-real time and made available on the project website. Examples of data collected since 1999 are presented that illustrate some of processes being addressed using the network. Maximum winds occur during remarkably energetic downbursts observed in spring and summer, associated with the passage of squalls over the coastal ocean. Peak wind speed at 50 m height exceed 40 ms and air temperature drops by 4 oC or more in less than 6 minutes, often accompanied by large changes in humidity and heavy rainfall, suggesting down draft of air from aloft. These events may play an important role in the offshore transport of continentally-derived material. Continuous ADCP measurements are being used to examine the seasonality of cross-shelf exchange and its relationship to the cross-shelf density gradient. The low-frequency cross-shelf circulation changes sign when the cross-shelf density gradient changes sign. Vertical stratification is surprisingly episodic, and maximum stratification has occurred in the winter and spring associated with appearance of long-salinity surface lens and may be associated with baroclinic instabilities. Strong stratification has also been observed in summer during Gulf Stream-derived intrusions onto the shelf, during which time the upper and lower layers become largely decoupled. Continuous optical measurements of above-water and in-water irradiance (PAR) show the mid-shelf surface sediments are often in the euphotic zone. Chlorophyll fluorescence (stimulated) shows strong light-dependent diurnal variability in near-surface waters and evidence of resuspension of benthic diatoms during storm events, particularly in the early fall. >http://www.skio.peachnet.edu/projects/sabsoon.html

  3. 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 now seen in all three Mesoproterozoic basins so far examined, and contrasts with the Paleoproterozoic and Neoproterozoic where nearly all δ15Nbulk data plot above the N2 fixation window. Thus, we propose that the Mesoproterozoic ocean was characterized by a nitrate minimum, with the lowest concentrations in offshore environments. This inference is consistent with a Mesoproterozoic O2 decline following a temporary Paleoproterozoic O2 peak, and it further supports the idea that nitrate limitation offshore may have contributed to the restriction of photosynthetic eukaryotes to near-shore environments, delaying their rise to ecological dominance until the Neoproterozoic Era.

  4. Structural Health and Prognostics Management for Offshore Wind Turbines: Sensitivity Analysis of Rotor Fault and Blade Damage with O&M Cost Modeling

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

    Myrent, Noah J.; Barrett, Natalie C.; Adams, Douglas E.

    2014-07-01

    Operations and maintenance costs for offshore wind plants are significantly higher than the current costs for land-based (onshore) wind plants. One way to reduce these costs would be to implement a structural health and prognostic management (SHPM) system as part of a condition based maintenance paradigm with smart load management and utilize a state-based cost model to assess the economics associated with use of the SHPM system. To facilitate the development of such a system a multi-scale modeling and simulation approach developed in prior work is used to identify how the underlying physics of the system are affected by themore » presence of damage and faults, and how these changes manifest themselves in the operational response of a full turbine. This methodology was used to investigate two case studies: (1) the effects of rotor imbalance due to pitch error (aerodynamic imbalance) and mass imbalance and (2) disbond of the shear web; both on a 5-MW offshore wind turbine in the present report. Sensitivity analyses were carried out for the detection strategies of rotor imbalance and shear web disbond developed in prior work by evaluating the robustness of key measurement parameters in the presence of varying wind speeds, horizontal shear, and turbulence. Detection strategies were refined for these fault mechanisms and probabilities of detection were calculated. For all three fault mechanisms, the probability of detection was 96% or higher for the optimized wind speed ranges of the laminar, 30% horizontal shear, and 60% horizontal shear wind profiles. The revised cost model provided insight into the estimated savings in operations and maintenance costs as they relate to the characteristics of the SHPM system. The integration of the health monitoring information and O&M cost versus damage/fault severity information provides the initial steps to identify processes to reduce operations and maintenance costs for an offshore wind farm while increasing turbine availability, revenue, and overall profit.« less

  5. Verification and Validation of the Coastal Modeling System. Report 2: CMS-Wave

    DTIC Science & Technology

    2011-12-01

    Figure 44. Offshore bathymetry showing NDBC and CDIP buoy locations. ........................................ 70 Figure 45. CMS-Wave modeling domain...the four measurement stations. During the same time intervals, offshore wave information was available from a Coastal Data Information Program ( CDIP ...were conducted with a grid of 236 × 398 cells with variable cell spacing of 30 to 200 m (see Figure 28). Directional wave spectra from CDIP 036 served

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

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

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

    2011-12-01

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

  7. Eddy Properties and their Spatiotemporal Variability in the North Indian Ocean from Satellite Altimetry

    NASA Astrophysics Data System (ADS)

    Dandapat, S.; Chakraborty, A.

    2016-12-01

    A comprehensive study on the statistics and variability of mesoscale eddies in the North Indian Ocean (NIO) are investigated using satellite altimetry data for the period of 1993-2014. A hybrid algorithm based on the physical and geometrical properties of mesoscale eddies is applied to detect the eddies and track their propagation. The potential eddies with radius larger than 50 km and lifespan longer than 30 days are considered for the analysis. The NIO consists of two unique tropical basins with the high number of eddy generations and activity: the Arabian Sea (AS) and the Bay of Bengal (BOB). It is noticed that the occurrence of cyclonic eddies (CEs) are found to be significant in AS, while the anticyclonic eddies (ACEs) dominate the BOB. In both the oceans eddies mostly propagate westward. The AS eddies showed the higher mean values, propagation speed, mean radius, mean lifetime than BOB eddies. In the AS, it is found that eddies formed on the western side of the basin persist longer and move towards north where as the number of eddies in the eastern coast of the basin is fewer and short lived. In the BOB, two highly eddy productive zones are identified: offshore of Visakhapatnam and the northern part of western BOB. The occurrence of ACEs dominate the offshore of Visakhapatnam, whereas the CEs in the northern part of western BOB. The ACEs are larger but the CEs have longer lifetime and are more energetic in the BOB. Along with the statistical properties, we also examined the eddy temporal variability in seasonal scale and their structural properties from ARGO data in the NIO. The seasonal variations are found to be significant in AS and BOB and in both the oceans significant correlation has been found between the eddy genesis and local wind stress curl. The strong positive wind stress curl during summer favors the formation of more CEs. In general, both ACEs and CEs in the NIO have single-core vertical structure with the core at a depth of about 100-200 dbar.

  8. A conceptual framework for evaluating variable speed generator options for wind energy applications

    NASA Technical Reports Server (NTRS)

    Reddoch, T. W.; Lipo, T. A.; Hinrichsen, E. N.; Hudson, T. L.; Thomas, R. J.

    1995-01-01

    Interest in variable speed generating technology has accelerated as greater emphasis on overall efficiency and superior dynamic and control properties in wind-electric generating systems are sought. This paper reviews variable speed technology options providing advantages and disadvantages of each. Furthermore, the dynamic properties of variable speed systems are contrasted with synchronous operation. Finally, control properties of variable speed systems are examined.

  9. Sea Basing Platforms for the 21st Century - An Evaluation of Maritime Prepositioning Force (Future) [MPF(F)] and the Mobile Offshore Base (MOB) to Perform Sea Basing

    DTIC Science & Technology

    2004-01-01

    Large, Medium Speed , Roll-On/Roll-Off (LMSR) ships . The BLA sea base ships share a common hull, a common propulsion plant, and internal design from...would have the propulsion capable of maintaining a speed of 25 knots. Cargo fuel is stored in either the centerline tanks or in the deep tanks in the...for the Marine Expeditionary Force (Forward) [MEF(FWD)]. The ships required a seaport to offload cargo , an airfield to be the aerial port of

  10. Frontal Eddy Dynamics (FRED) experiment off North Carolina: Volume 1. Executive summary

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

    Ebbesmeyer, C.C.

    1989-03-01

    In preparation for oil and gas lease sales on the outer continental shelf offshore of North Carolina, the Minerals Management Service was requested to investigate the potential transport and impacts of oil spilled offshore. The Gulf Stream and associated eddies are an important aspect of the transport. Although the speed and location of the Gulf Stream are reasonably well known, knowledge of the meanders of the Gulf Stream is limited. How the circulatory structure and movement of associated frontal eddies and filaments affect the North Carolina coastal waters is not clear. This study investigates the interactions of these circulatory elementsmore » and follows the evolution of frontal eddies as they migrate along the North Carolina coast.« less

  11. An Integrated Approach To Offshore Wind Energy Assessment: Great Lakes 3D Wind Experiment

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

    Barthelmie, R. J.; Pryor, S. C.

    This grant supported fundamental research into the characterization of flow parameters of relevance to the wind energy industry focused on offshore and the coastal zone. A major focus of the project was application of the latest generation of remote sensing instrumentation and also integration of measurements and numerical modeling to optimize characterization of time-evolving atmospheric flow parameters in 3-D. Our research developed a new data-constrained Wind Atlas for the Great Lakes, and developed new insights into flow parameters in heterogeneous environments. Four experiments were conducted during the project: At a large operating onshore wind farm in May 2012; At themore » National Renewable Energy Laboratory National Wind Technology Center (NREL NWTC) during February 2013; At the shoreline of Lake Erie in May 2013; and At the Wind Energy Institute of Canada on Prince Edward Island in May 2015. The experiment we conducted in the coastal zone of Lake Erie indicated very complex flow fields and the frequent presence of upward momentum fluxes and resulting distortion of the wind speed profile at turbine relevant heights due to swells in the Great Lakes. Additionally, our data (and modeling) indicate the frequent presence of low level jets at 600 m height over the Lake and occasions when the wind speed profile across the rotor plane may be impacted by this phenomenon. Experimental data and modeling of the fourth experiment on Prince Edward Island showed that at 10-14 m escarpment adjacent to long-overseas fetch the zone of wind speed decrease before the terrain feature and the increase at (and slightly downwind of) the escarpment is ~3–5% at turbine hub-heights. Additionally, our measurements were used to improve methods to compute the uncertainty in lidar-derived flow properties and to optimize lidar-scanning strategies. For example, on the basis of the experimental data we collected plus those from one of our research partners we advanced a new methodology to estimate a priori the uncertainty in wind speed retrievals from arc scans based on site characteristics such as wind velocity, turbulence intensity and proposed scan geometry. Insights regarding use of remote sensing technologies deriving from project experiments were used to compile a best practice document http://doi.org/10.7298/X4QV3JGF for measuring wind speeds and turbulence offshore through in-situ and remote sensing technologies. A project-specific web-site was developed and is available at: http://www.geo.cornell.edu/eas/PeoplePlaces/Faculty/spryor/DoE_AIATOWEA/index.html« less

  12. GIS-based approach for the evaluation of offshore wind power potential for Gujarat

    NASA Astrophysics Data System (ADS)

    Patel, Dhrumin; Nagababu, Garlapati; Radadia, Nishil; Parsana, Sohil; Sheth, Mohak; Sheth, Nisarg

    2018-05-01

    In the current global scenario, India is increasing its focus towards the methods to enrich the benefits of non-renewable energy sources as much as possible due to their key advantage of having low carbon footprint. India has already emerged as a key global player in on-shore wind energy and to achieve its annual wind energy production demand of 50 GWh, avenues other than current options have been researched on. Offshore wind energy has experienced remarkable growth worldwide but has not yet been harnessed sufficiently in India, despite addressing many of environmental and economic concerns. The present study focuses on offshore wind resource assessment on Indian exclusive economic zone (EEZ) around Gujarat region. The geographical information system (GIS) methodology has been used to develop maps of wind speed, power density and capacity factor maps. Further, careful consideration has been accorded for expulsion of marine protected areas, shipping transportation lines, fishing zones, and migratory bird movements. The resultant available area has been considered for annual energy production considering data from Siemens Wind Turbine 3.6. The results obtained shows that offshore wind energy can offset twice the annual energy demand of entire country with a potential energy production of more than 2580 TWh.

  13. Submesoscale CO2 variability across an upwelling front off Peru

    NASA Astrophysics Data System (ADS)

    Köhn, Eike E.; Thomsen, Sören; Arévalo-Martínez, Damian L.; Kanzow, Torsten

    2017-12-01

    As a major source for atmospheric CO2, the Peruvian upwelling region exhibits strong variability in surface fCO2 on short spatial and temporal scales. Understanding the physical processes driving the strong variability is of fundamental importance for constraining the effect of marine emissions from upwelling regions on the global CO2 budget. In this study, a frontal decay on length scales of 𝒪(10 km) was observed off the Peruvian coast following a pronounced decrease in down-frontal (equatorward) wind speed with a time lag of 9 h. Simultaneously, the sea-to-air flux of CO2 on the inshore (cold) side of the front dropped from up to 80 to 10 mmol m-2 day-1, while the offshore (warm) side of the front was constantly outgassing at a rate of 10-20 mmol m-2 day-1. Based on repeated ship transects the decay of the front was observed to occur in two phases. The first phase was characterized by a development of coherent surface temperature anomalies which gained in amplitude over 6-9 h. The second phase was characterized by a disappearance of the surface temperature front within 6 h. Submesoscale mixed-layer instabilities were present but seem too slow to completely remove the temperature gradient in this short time period. Dynamics such as a pressure-driven gravity current appear to be a likely mechanism behind the evolution of the front.

  14. Marine data and its potential for coastal and offshore applications

    NASA Astrophysics Data System (ADS)

    Meyer, Elke; Weisse, Ralf

    2013-04-01

    The coastDat data set is a compilation of coastal analyses and scenarios for the future from various sources. It contains no direct measurements but results from numerical models that have been driven either by observed data in order to achieve the best possible representation of observed past conditions or by climate change scenarios for the near future. One of the key objectives for developing coastDat was to derive a consistent and mostly homogeneous database for assessing marine weather statistics and long-term changes. Here, homogeneity refers to a data set which is free from effects caused by changes in instrumentation or measurement techniques. Contrary to direct measurements which are often rare and incomplete, coastDat offers a unique combination of consistent atmospheric, oceanic, sea state and other parameters at high spatial and temporal detail, even for places and variables for which no measurements have been made. The backbones of coastDat are regional wind, wave and storm surge hindcast and scenarios mainly for the North Sea and the Baltic Sea. Furthermore hindcast simulations are available for temperature, salinity, water level, u- and v-components for the North Sea for last 60 years. We will discuss the methodology to derive these data, their quality and limitations in comparison with observations. Long-term changes in the temperature, wind, wave and storm surge climate will be discussed and potential future changes will be assessed. We will conclude with a number of coastal and offshore applications (e.g. ship design, coastal protection, oil risk modelling and marine energy use) of coastDat demonstrating some of the potentials of the data set in hazard assessment. For example data from coastDat have been used extensively for designing, planning and installation of offshore wind farms. Return periods of extreme wind speed, surge and wave heights are used by a variety of users involved in the design and construction of offshore wind parks. Moreover, planning of installation and maintenance requires the estimation of probabilities of weather windows; that is, for example the probability of an extended period with wave heights below a given threshold to enable installation and/or maintenance. Data from coastDat were frequently used in such cases as observational data are too often too short to derive reliable statistics. www.coastdat.de

  15. The coastDat data set and its potential for coastal and offshore applications

    NASA Astrophysics Data System (ADS)

    Meyer, E.; Weisse, R.

    2012-12-01

    The coastDat data set is a compilation of coastal analyses and scenarios for the future from various sources. It contains no direct measurements but results from numerical models that have been driven either by observed data in order to achieve the best possible representation of observed past conditions or by climate change scenarios for the near future. One of the key objectives for developing coastDat was to derive a consistent and mostly homogeneous database for assessing marine weather statistics and long-term changes. Here, homogeneity refers to a data set which is free from effects caused by changes in instrumentation or measurement techniques. Contrary to direct measurements which are often rare and incomplete, coastDat offers a unique combination of consistent atmospheric, oceanic, sea state and other parameters at high spatial and temporal detail, even for places and variables for which no measurements have been made. The backbones of coastDat are regional wind, wave and storm surge hindcast and scenarios mainly for the North Sea and the Baltic Sea. Furthermore hindcast simulations are available for temperature, salinity, water level, u- and v-components for the North Sea for last 60 years. We will discuss the methodology to derive these data, their quality and limitations in comparison with observations. Long-term changes in the temperature, wind, wave and storm surge climate will be discussed and potential future changes will be assessed. We will conclude with a number of coastal and offshore applications (e.g. ship design, coastal protection, oil risk modelling and marine energy use) of coastDat demonstrating some of the potentials of the data set in hazard assessment. For example data from coastDat have been used extensively for designing, planning and installation of offshore wind farms. Return periods of extreme wind speed, surge and wave heights are used by a variety of users involved in the design and construction of offshore wind parks. Moreover, planning of installation and maintenance requires the estimation of probabilities of weather windows; that is, for example the probability of an extended period with wave heights below a given threshold to enable installation and/or maintenance. Data from coastDat were frequently used in such cases as observational data are too often too short to derive reliable statistics.

  16. Key challenges of offshore wind power: Three essays addressing public acceptance, stakeholder conflict, and wildlife impacts

    NASA Astrophysics Data System (ADS)

    Bates, Alison Waterbury

    Society is facing a pressing need to reduce greenhouse gas emissions to limit anthropogenic climate change, which has far reaching implications for humans and the environment. Transforming the energy infrastructure to carbon-free sources is one solution to curb greenhouse gas emissions, but this transformation has been slow to materialize in many places, such as the United States (U.S.). Offshore wind energy is one of the most promising renewable energy sources available, which can be deployed in large-scale developments in many parts of the world. Yet, offshore wind has faced many challenges, which are more social and regulatory than technical. This dissertation addresses social and regulatory issues surrounding offshore wind development through three stand-alone essays, which, in combination, address a decision-making framework of where to locate offshore wind turbines, by minimizing effects on people and wildlife. The challenges to offshore wind that are addressed by this dissertation include (1) understanding underlying factors that drive support for or opposition to offshore wind energy; (2) conflict with existing ocean uses and users; and (3) public concern and regulatory processes related to wildlife impacts. The first paper identifies unique factors that drive public opinion of proposed offshore wind projects in nearby coastal communities. Wind energy development on land has faced local opposition for reasons such as effects on cultural landscapes and wildlife, which can be instrumental in whether or not and the speed with which a project moves ahead toward completion. Factors leading to support for, or opposition to, offshore wind energy are not well known, particularly for developments that are near-shore and in-view of coastal communities. Results are presented from a survey of 699 residents (35.5% response rate) completed in 2013 in greater Atlantic City, New Jersey and coastal Delaware, United States, where near-shore wind demonstration projects had been proposed. The essay examines how the public considers the societal tradeoffs that are made to develop small-scale, in-view demonstration wind projects instead of larger facilities farther offshore. Results indicate that a strong majority of the public supports near-shore demonstration wind projects in both states. Primary reasons for support include benefits to wildlife, cost of electricity, and job creation, while the primary reasons for opposition include wildlife impacts, aesthetics, tourism, and user conflicts. These factors differ between coastal Delaware and greater Atlantic City and highlight the importance of local, community engagement in the early stages of development. The second essay examines the interaction of a new proposed use of the ocean---offshore wind---and a key existing ocean user group---commercial fishers. A key component of offshore wind planning includes consideration of existing uses of the marine environment in order to optimally site wind projects while minimizing conflicts. Commercial fisheries comprise an important stakeholder group, and may be one of the most impacted stakeholders from offshore renewable energy development. Concern of the fishing industry stems from possible interference with productive fishing grounds and access within wind developments resulting in costs from increased effort or reduction in catch. Success of offshore wind development may in part depend on the acceptance of commercial fishers, who are concerned about loss of access to fishing grounds. Using a quantitative, marine spatial planning approach in the siting of offshore wind projects with respect to commercial fishing in the mid-Atlantic, U.S., this essay develops a spatially explicit representation of potential conflicts and compatibilities between these two industries in the mid-Atlantic region of the United States. Areas that are highly valuable to the wind industry are determined through a spatial suitability model using variable cost per unit energy. Areas that are highly valuable to the fishing industry are determined by examining fishing effort in three high-value fishing sectors (sea scallops, clam fisheries, and high-value mobile fisheries). Ultimately, the results identify locations where the industries are conflicting and where they are compatible. This quantitative analysis of the potential tradeoffs between the commercial fishing industry and offshore wind development benefits wind developers, states, and federal regulators by helping advance offshore wind power to meet national priorities. Finally, the third essay addresses wildlife impacts through a comprehensive review of the impacts to marine mammals and the regulatory context to manage these impacts. Regulators, scientists, and stakeholders are interested in the potential impacts from pre-construction surveys, turbine installation, operation and maintenance, and decommissioning of offshore wind sites. This article reviews both commissioned reports and peer-reviewed literature to provide a comprehensive overview of the expected impacts of offshore wind energy to marine mammals. Impacts include noise, which is generated during three stages of development: investigation/construction, operation, and decommissioning. Additional potential effects arise from electromagnetic fields, changes in prey abundance and distribution, and the creation of artificial reefs and 'de-facto' marine protected areas. Because offshore wind power may also deliver substantial long-term benefits to wildlife and humans in the form of reduced CO2 emissions, implementation of mitigation measures to reduce negative impacts to marine mammals may be a plausible option to help this industry advance. An overview of mitigation options is reviewed, as well as the legal framework protecting marine mammals from anthropogenic impacts. Finally, the essay makes several recommendations where government and wind developers can improve research and regulatory processes to increase efficiency and streamline the application and review process.

  17. Condition monitoring of a wind turbine doubly-fed induction generator through current signature analysis

    NASA Astrophysics Data System (ADS)

    Artigao, Estefania; Honrubia-Escribano, Andres; Gomez-Lazaro, Emilio

    2017-11-01

    Operation and maintenance (O&M) of wind turbines is recently becoming the spotlight in the wind energy sector. While wind turbine power capacities continue to increase and new offshore developments are being installed, O&M costs keep raising. With the objective of reducing such costs, the new trends are moving from corrective and preventive maintenance toward predictive actions. In this scenario, condition monitoring (CM) has been identified as the key to achieve this goal. The induction generator of a wind turbine is a major contributor to failure rates and downtime where doubly-fed induction generators (DFIG) are the dominant technology employed in variable speed wind turbines. The current work presents the analysis of an in-service DFIG. A one-year measurement campaign has been used to perform the study. Several signal processing techniques have been applied and the optimal method for CM has been identified. A diagnosis has been reached, the DFIG under study shows potential gearbox damage.

  18. Assessing Spatiotemporal Variability in NO2 and O3 Along the Korean Peninsula Using Remote Sensing and Ground-Based Observations

    NASA Astrophysics Data System (ADS)

    Li, C. Y. R.; Parker, O.; Tzortziou, M.

    2017-12-01

    Our research sought to use ground-based and satellite products to study the spatiotemporal variability of NO2 and O­3 in urban and coastal South Korea. Our data set was derived from direct-sun irradiance measurements of TCNO2 and TCO3 using Pandora spectrometers located at 8 ground sites and 1 boat-mounted sensor, as well as satellite observations from the Ozone Monitoring Instrument (OMI) on the Aura satellite. Our analysis focuses on the dates of the KORUSA campaign, which took place between May 18, 2016 through June 2, 2016, and provided our off-shore measurements. The Pandora instrument offered us continuous coverage of the local area, providing a detailed understanding of NO2 and O3 temporal variability. Ground stations allowed us to compare small-scale diurnal variability in urban and near-urban environments, while the Pandora mounted on the Onnuri research vessel permitted us to gain valuable insight into off-shore behavior of trace gases. By overlaying and comparing these measurements with TCO3/TCNO2 products from the Aura-OMI sensor, we were able to form a relatively complete picture of trace gas behavior above, and off-shore from, the Korean Peninsula. Our data was then subjected to statistical and GIS (Geographic Information System) analysis, quantifying and mapping (respectively) the spatial and temporal variability of total column amounts of NO2 and O3 along the Korean Peninsula. Results are shown for the eight sites where different Pandora instruments were used. There was a notable difference in TCNO2 variability which correlates with population and land use.

  19. 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.

  20. Artificial light on water attracts turtle hatchlings during their near shore transit

    PubMed Central

    Thums, Michele; Whiting, Scott D.; Reisser, Julia; Pendoley, Kellie L.; Proietti, Maira; Hetzel, Yasha; Fisher, Rebecca; Meekan, Mark G.

    2016-01-01

    We examined the effect of artificial light on the near shore trajectories of turtle hatchlings dispersing from natal beaches. Green turtle (Chelonia mydas) hatchlings were tagged with miniature acoustic transmitters and their movements tracked within an underwater array of 36 acoustic receivers placed in the near shore zone. A total of 40 hatchlings were tracked, 20 of which were subjected to artificial light during their transit of the array. At the same time, we measured current speed and direction, which were highly variable within and between experimental nights and treatments. Artificial lighting affected hatchling behaviour, with 88% of individual trajectories oriented towards the light and spending, on average, 23% more time in the 2.25 ha tracking array (19.5 ± 5 min) than under ambient light conditions (15.8 ± 5 min). Current speed had little to no effect on the bearing (angular direction) of the hatchling tracks when artificial light was present, but under ambient conditions it influenced the bearing of the tracks when current direction was offshore and above speeds of approximately 32.5 cm s−1. This is the first experimental evidence that wild turtle hatchlings are attracted to artificial light after entering the ocean, a behaviour that is likely to subject them to greater risk of predation. The experimental protocol described in this study can be used to assess the effect of anthropogenic (light pollution, noise, etc.) and natural (wave action, current, wind, moonlight) influences on the in-water movements of sea turtle hatchlings during the early phase of dispersal. PMID:27293795

  1. Artificial light on water attracts turtle hatchlings during their near shore transit.

    PubMed

    Thums, Michele; Whiting, Scott D; Reisser, Julia; Pendoley, Kellie L; Pattiaratchi, Charitha B; Proietti, Maira; Hetzel, Yasha; Fisher, Rebecca; Meekan, Mark G

    2016-05-01

    We examined the effect of artificial light on the near shore trajectories of turtle hatchlings dispersing from natal beaches. Green turtle (Chelonia mydas) hatchlings were tagged with miniature acoustic transmitters and their movements tracked within an underwater array of 36 acoustic receivers placed in the near shore zone. A total of 40 hatchlings were tracked, 20 of which were subjected to artificial light during their transit of the array. At the same time, we measured current speed and direction, which were highly variable within and between experimental nights and treatments. Artificial lighting affected hatchling behaviour, with 88% of individual trajectories oriented towards the light and spending, on average, 23% more time in the 2.25 ha tracking array (19.5 ± 5 min) than under ambient light conditions (15.8 ± 5 min). Current speed had little to no effect on the bearing (angular direction) of the hatchling tracks when artificial light was present, but under ambient conditions it influenced the bearing of the tracks when current direction was offshore and above speeds of approximately 32.5 cm s(-1). This is the first experimental evidence that wild turtle hatchlings are attracted to artificial light after entering the ocean, a behaviour that is likely to subject them to greater risk of predation. The experimental protocol described in this study can be used to assess the effect of anthropogenic (light pollution, noise, etc.) and natural (wave action, current, wind, moonlight) influences on the in-water movements of sea turtle hatchlings during the early phase of dispersal.

  2. Augmenting Onshore GPS Displacements with Offshore Observations to Improve Slip Characterization for Cascadia Subduction Earthquakes

    NASA Astrophysics Data System (ADS)

    Saunders, J. K.; Haase, J. S.

    2017-12-01

    The rupture location of a Mw 8 megathrust earthquake can dramatically change the near-source tsunami impact, where a shallow earthquake can produce a disproportionally large tsunami for its magnitude. Because the locking pattern of the shallow Cascadia megathrust is unconstrained due to the lack of widespread seafloor geodetic observations, near-source tsunami early warning systems need to be able to identify shallow, near-trench earthquakes. Onshore GPS displacements provide low frequency ground motions and coseismic offsets for characterizing tsunamigenic earthquakes, however the one-sided distribution of data may not be able to uniquely determine the rupture region. We examine how augmenting the current real-time GPS network in Cascadia with different offshore station configurations improves static slip inversion solutions for Mw 8 earthquakes at different rupture depths. Two offshore coseismic data types are tested in this study: vertical-only, which would be available using existing technology for bottom pressure sensors, and all-component, which could be achieved by combining pressure sensors with real-time GPS-Acoustic observations. We find that both types of offshore data better constrain the rupture region for a shallow earthquake compared to onshore data alone when offshore stations are located above the rupture. However, inversions using vertical-only offshore data tend to underestimate the amount of slip for a shallow rupture, which we show underestimates the tsunami impact. Including offshore horizontal coseismic data into the inversions improves the slip solutions for a given offshore station configuration, especially in terms of maximum slip. This suggests that while real-time GPS-Acoustic sensors may have a long development timeline, they will have more impact for inversion-based tsunami early warning systems than bottom pressure sensors. We also conduct sensitivity studies using kinematic models with varying rupture speeds and rise times as a proxy for expected rigidity changes with depth along the megathrust. We find distinguishing features in displacement waveforms that can be used to infer primary rupture region. We discuss how kinematic inversion methods that use these characteristics in high-rate GPS data could be applied to the Cascadia subduction zone.

  3. Examining Impulse-Variability in Kicking.

    PubMed

    Chappell, Andrew; Molina, Sergio L; McKibben, Jonathon; Stodden, David F

    2016-07-01

    This study examined variability in kicking speed and spatial accuracy to test the impulse-variability theory prediction of an inverted-U function and the speed-accuracy trade-off. Twenty-eight 18- to 25-year-old adults kicked a playground ball at various percentages (50-100%) of their maximum speed at a wall target. Speed variability and spatial error were analyzed using repeated-measures ANOVA with built-in polynomial contrasts. Results indicated a significant inverse linear trajectory for speed variability (p < .001, η2= .345) where 50% and 60% maximum speed had significantly higher variability than the 100% condition. A significant quadratic fit was found for spatial error scores of mean radial error (p < .0001, η2 = .474) and subject-centroid radial error (p < .0001, η2 = .453). Findings suggest variability and accuracy of multijoint, ballistic skill performance may not follow the general principles of impulse-variability theory or the speed-accuracy trade-off.

  4. Field evaluation of remote wind sensing technologies: Shore-based and buoy mounted LIDAR systems

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

    Herrington, Thomas

    In developing a national energy strategy, the United States has a number of objectives, including increasing economic growth, improving environmental quality, and enhancing national energy security. Wind power contributes to these objectives through the deployment of clean, affordable and reliable domestic energy. To achieve U.S. wind generation objectives, the Wind and Water Power Program within the Department of Energy’s (DOE) Office of Energy Efficiency and Renewable Energy (EERE) instituted the U.S. Offshore Wind: Removing Market Barriers Program in FY 2011. Accurate and comprehensive information on offshore wind resource characteristics across a range of spatial and temporal scales is one marketmore » barrier that needs to be addressed through advanced research in remote sensing technologies. There is a pressing need for reliable offshore wind-speed measurements to assess the availability of the potential wind energy resource in terms of power production and to identify any frequently occurring spatial variability in the offshore wind resource that may impact the operational reliability and lifetime of wind turbines and their components and to provide a verification program to validate the “bankability” of the output of these alternative technologies for use by finance institutions for the financing of offshore wind farm construction. The application of emerging remote sensing technologies is viewed as a means to cost-effectively meet the data needs of the offshore wind industry. In particular, scanning and buoy mounted LIDAR have been proposed as a means to obtain accurate offshore wind data at multiple locations without the high cost and regulatory hurdles associated with the construction of offshore meteorological towers. However; before these remote sensing technologies can be accepted the validity of the measured data must be evaluated to ensure their accuracy. The proposed research will establish a unique coastal ocean test-bed in the Mid-Atlantic for the evaluation of LIDAR-based wind measurement systems to validate the accuracy of remotely measured wind data in marine applications. Specifically, the test-bed will be utilized to systematically evaluate the capability of emerging scanning LIDAR and buoy mounted vertically profiling LIDAR by: (1) Evaluating a fixed scanning LIDAR against land-based 50 and 60 meter high meteorological masts fitted with research quality cup-vane and/or sonic anemometers; (2) Evaluating a buoy mounted vertically profiling LIDAR fixed on land and floating in a sheltered bay against a co-located 60 meter high meteorological mast fitted with a research quality cup-vane and/or sonic anemometers and the fixed scanning LIDAR; and (3) Offshore field evaluation of both LIDAR platforms through a comparison of the fixed scanning LIDAR data and data obtained by the buoy mounted LIDAR located 10 miles offshore. The proposed research will systematically validate Light Detection and Ranging (LIDAR) based wind measurement systems and assess the temporal and spatial variability of the offshore wind resource in the Mid-Atlantic east of New Jersey. The goal of the proposed project is to address the technical and commercial challenges of the offshore wind energy industry by validating and assessing cost-effective, over ocean wind resource characterization technologies. The objective is to systematically evaluate the capability of both scanning and vertically profiling LIDARs to accurately measure 3D wind fields through comparison with fixed met masts and intercomparison among LIDAR platforms. Once validated, data collected by both buoy mounted vertically profiling LIDARs and shore-based, pulsed horizontally scanning LIDARs can be used to accurately assess offshore wind resources and to quantify the spatial and temporal variability in the offshore wind fields. One of the fundamental research questions to be addressed in phase 1 is the assessment of various measurement and data processing schemes to retrieve accurate wind vectors in the marine environment over large sampling ranges (10 to 12 km) and varying atmospheric aerosol levels. Atmospheric conditions and aerosol content within the coastal ocean region of the Mid-Atlantic seaboard of the US can vary significantly over short time periods in response to frontal passages and extratropical and tropical low pressure system passage offshore of the coast. Since aerosols provide the scattering medium for the determination of LIDAR Doppler shifts in the atmosphere the accuracy and range of LIDAR derived velocity measurements as a function of variation in aerosol content in the marine environment is a key research question to be addressed. In phase 1, it is desired to capture as much variation in atmospheric conditions and aerosol content as possible. To this end, collocated measurements of LIDAR and standard anemometer wind fields will be captured by the project PIs over all four seasons and during specific events (e.g., coastal low pressure system passage) in year 1. Additionally, since the meteorological masts are permanent structures, additional events can be captured over the three year duration of the field research project. All research instruments are owned by Fishermen’s Energy and made available to the PIs though a lease agreement as part of the DOE grant. Energy Fishermen’s Energy will be responsible for the operation and maintenance of the scanning LIDAR and met mast anemometers. On a daily basis, environmental data and systems performance indicators will be transmitted from each measurement station to the Fishermen’s project team consisting of both in-house personnel and equipment manufacturer engineers. Data sets include compiled LIDAR files as well as data sets from ancillary sensors. Diagnostic parameters to be monitored include standard deviations of measured values, battery levels and charging systems output, and the operational status. Once data have been confirmed as complete and reliable, files will be transferred to the Garrad Hassan (a subcontractor to Fishermen’s Energy) for incorporation in to the validation database, which is accessible to other scientific team members. Data collection times and durations will be determined by the PI and Co-PIs in consultation with instrument engineers to ensure the capture of data representative of the expected range of mid-Atlantic atmospheric conditions (e.g., temperature, moisture, coastal low pressure systems, tropical systems, rain, snow, fog). The collection and processing of the data is a function of site specific measurement requirements (Kelley et.al. 2007; Hannon et.al. 2008). To determine the optimal profiles of wind speed and direction from the LIDAR radial velocities as a function of azimuth angle, rigorous estimates of the bias and random error of each radial velocity estimate are required. Lockheed Martin Coherent Technologies, Inc., under contract with Fishermen’s Energy, will provide analyses of raw and processed data using various scan patterns to determine optimal performance settings for the pulsed scanning LIDAR. Once optimized, appropriate processing and analyses techniques will be evaluated by Garrad Hassan for use in validating the accuracy of the LIDAR wind field measurements against the standard anemometer measurements from the meteorological masts. The most attractive capability of the scanning LIDAR is the ability to provide high spatial resolution observations in a three-dimensional volume which provides superior statistical accuracy due to the large number of samples obtained. Each radial scan provides measurements in 100 range gates over a distance of 10 to 12 km at an update rate of 5 to 10 Hz and rotation of 2.5° per second. Each rotation at a fixed azimuth requires 2.4 minutes. Depending on the number of azimuths desired a complete scan can take up to 10 minutes or longer to complete. Once collected the radial velocities are processed to produce vector wind velocity estimates based on a set of data distributed in angle and range around points of interest, typically a standard grid within the radial wind map. To calculate wind vectors over a limited spatial area of interest for the comparison of data with other measurement platforms a localized least-squares approach has been applied by Hannon et.al. (2008) and a Variation Assimilation (VAR) processing technique has been applied by Chan and al Assimilation (VAR) processing technique has been applied by Chan and Shao (2006). Additionally, Kelley et.al. (2007) applied a “stare” technique that fixed a scanning LIDAR in both azimuth and elevation angles to measure over collocated sampling volumes of the LIDAR and a 3D sonic anemometer mounted to a fixed mast. Although the stare technique is limited to wind directions aligned with the sampling radial of the LIDAR, it does provide a direct comparison of sampling volumes. Each of the processing techniques described above (and possibly others) will be evaluated to determine the validity of the LIDAR derived wind fields in the marine environment. Numerical methods such as linear regression and comparison of probability density functions of wind fields measured by each instrument platform will be used to assess the processing techniques. Linear regression has the advantage of directly evaluating corresponding pairs of wind data measured by each instrument and can lend insight into deviations and bias between instruments as a function of wind speed. Assessment of the coherency between the probability density function of the wind measured by each instrument provides insight into processes that may not be accurately resolved by each instrument at specific frequencies. Once processed and assessed the most appropriate technique will be utilized to provide valid wind measurements from the pulsed scanning LIDAR. A detailed analysis of the measurement data from the LIDAR and the three meteorological towers and comparison of the coastal wind characteristics from the different systems will be performed by the CO_PI at NREL. This analysis will evaluate how the WT LIDAR performance and measurement of the wind characteristics vary with distance from the LIDAR and by atmospheric conditions; using the tower measurements at different distances (4.8, 9.6, and 19 km) from the LIDAR as a reference. The comparative analysis will include, to the extent possible, evaluation of parameters such as wind speed and direction distributions, wind shear, turbulence intensity and their variations by atmospheric conditions, month or season, and time of day.« less

  5. An examination of loads and responses of a wind turbine undergoing variable-speed operation

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

    Wright, A.D.; Buhl, M.L. Jr.; Bir, G.S.

    1996-11-01

    The National Renewable Energy Laboratory has recently developed the ability to predict turbine loads and responses for machines undergoing variable-speed operation. The wind industry has debated the potential benefits of operating wind turbine sat variable speeds for some time. Turbine system dynamic responses (structural response, resonance, and component interactions) are an important consideration for variable-speed operation of wind turbines. The authors have implemented simple, variable-speed control algorithms for both the FAST and ADAMS dynamics codes. The control algorithm is a simple one, allowing the turbine to track the optimum power coefficient (C{sub p}). The objective of this paper is tomore » show turbine loads and responses for a particular two-bladed, teetering-hub, downwind turbine undergoing variable-speed operation. The authors examined the response of the machine to various turbulent wind inflow conditions. In addition, they compare the structural responses under fixed-speed and variable-speed operation. For this paper, they restrict their comparisons to those wind-speed ranges for which limiting power by some additional control strategy (blade pitch or aileron control, for example) is not necessary. The objective here is to develop a basic understanding of the differences in loads and responses between the fixed-speed and variable-speed operation of this wind turbine configuration.« less

  6. Marine fish community structure and habitat associations on the Canadian Beaufort shelf and slope

    NASA Astrophysics Data System (ADS)

    Majewski, Andrew R.; Atchison, Sheila; MacPhee, Shannon; Eert, Jane; Niemi, Andrea; Michel, Christine; Reist, James D.

    2017-03-01

    Marine fishes in the Canadian Beaufort Sea have complex interactions with habitats and prey, and occupy a pivotal position in the food web by transferring energy between lower- and upper-trophic levels, and also within and among habitats (e.g., benthic-pelagic coupling). The distributions, habitat associations, and community structure of most Beaufort Sea marine fishes, however, are unknown thus precluding effective regulatory management of emerging offshore industries in the region (e.g., hydrocarbon development, shipping, and fisheries). Between 2012 and 2014, Fisheries and Oceans Canada conducted the first baseline survey of offshore marine fishes, their habitats, and ecological relationships in the Canadian Beaufort Sea. Benthic trawling was conducted at 45 stations spanning 18-1001 m depths across shelf and slope habitats. Physical oceanographic variables (depth, salinity, temperature, oxygen), biological variables (benthic chlorophyll and integrated water-column chlorophyll) and sediment composition (grain size) were assessed as potential explanatory variables for fish community structure using a non-parametric statistical approach. Selected stations were re-sampled in 2013 and 2014 for a preliminary assessment of inter-annual variability in the fish community. Four distinct fish assemblages were delineated on the Canadian Beaufort Shelf and slope: 1) Nearshore-shelf: <50 m depth, 2) Offshore-shelf: >50 and ≤200 m depths, 3) Upper-slope: ≥200 and ≤500 m depths, and 4) Lower-slope: ≥500 m depths. Depth was the environmental variable that best explained fish community structure, and each species assemblage was spatially associated with distinct aspects of the vertical water mass profile. Significant differences in the fish community from east to west were not detected, and the species composition of the assemblages on the Canadian Beaufort Shelf have not changed substantially over the past decade. This community analysis provides a framework for testing hypotheses regarding the trophic dynamics and ecosystem roles of Beaufort Sea marine fishes, including biological linkages (i.e., fish movements and trophic interactions) among offshore habitats. Understanding regional-scale habitat associations will also provide context to identify potentially unique and/or sensitive habitats and fish community characteristics, thus aiding identification of ecologically and biologically significant areas, and to inform conservation efforts.

  7. Coral Sr/Ca-based sea surface temperature and air temperature variability from the inshore and offshore corals in the Seribu Islands, Indonesia.

    PubMed

    Cahyarini, Sri Yudawati; Zinke, Jens; Troelstra, Simon; Suharsono; Aldrian, Edvin; Hoeksema, B W

    2016-09-30

    The ability of massive Porites corals to faithfully record temperature is assessed. Porites corals from Kepulauan Seribu were sampled from one inshore and one offshore site and analyzed for their Sr/Ca variation. The results show that Sr/Ca of the offshore coral tracked SST, while Sr/Ca variation of the inshore coral tracked ambient air temperature. In particular, the inshore SST variation is related to air temperature anomalies of the urban center of Jakarta. The latter we relate to air-sea interactions modifying inshore SST associated with the land-sea breeze mechanism and/or monsoonal circulation. The correlation pattern of monthly coral Sr/Ca with the Niño3.4 index and SEIO-SST reveals that corals in the Seribu islands region respond differently to remote forcing. An opposite response is observed for inshore and offshore corals in response to El Niño onset, yet similar to El Niño mature phase (December to February). SEIO SSTs co-vary strongly with SST and air temperature variability across the Seribu island reef complex. The results of this study clearly indicate that locations of coral proxy record in Indonesia need to be chosen carefully in order to identify the seasonal climate response to local and remote climate and anthropogenic forcing. Copyright © 2016 Elsevier Ltd. All rights reserved.

  8. Observations of internal bores and waves of elevation on the New England inner continental shelf during summer 2001

    NASA Astrophysics Data System (ADS)

    Pritchard, Mark; Weller, Robert A.

    2005-03-01

    During July-August 2001, oceanographic variability on the New England inner continental shelf was investigated with an emphasis on temporal scales shorter than tidal periods. Mooring and ship survey data showed that subtidal variation of inner shelf stratification was in response to regional Ekman upwelling and downwelling wind driven dynamics. High-frequency variability in the vertical structure of the water column at an offshore mooring site was linked to the baroclinic internal tide and the onshore propagation of nonlinear solitary waves of depression. Temperature, salinity, and velocity data measured at an inshore mooring detected a bottom bore that formed on the flood phase of the tide. During the ebb tide, a second bottom discontinuity and series of nonlinear internal waves of elevation (IWOE) formed when the water column became for a time under hydraulic control. A surface manifestation of these internal wave crests was also observed in aircraft remote sensing imagery. The coupling of IWOE formation to the offshore solitary waves packets was investigated through internal wave breaking criterion derived in earlier laboratory studies. Results suggested that the offshore solitons shoaled on the sloping shelf, and transformed from waves of depression to waves of elevation. The coupling of inshore bore formation to the offshore solitary waves and the possible impact of these periodic features on mixing on the inner shelf region are discussed.

  9. Changes in zooplankton habitat, behavior, and acoustic scattering characteristics across glider-resolved fronts in the Southern California Current System

    NASA Astrophysics Data System (ADS)

    Powell, Jesse R.; Ohman, Mark D.

    2015-05-01

    We report cross-frontal changes in the characteristics of plankton proxy variables measured by autonomous Spray ocean gliders operating within the Southern California Current System (SCCS). A comparison of conditions across the 154 positive frontal gradients (i.e., where density of the surface layer decreased in the offshore direction) identified from six years of continuous measurements showed that waters on the denser side of the fronts typically showed higher Chl-a fluorescence, shallower euphotic zones, and higher acoustic backscatter than waters on the less dense side. Transitions between these regions were relatively abrupt. For positive fronts the amplitude of Diel Vertical Migration (DVM), inferred from a 3-beam 750 kHz acoustic Doppler profiler, increased offshore of fronts and covaried with optical transparency of the water column. Average interbeam variability in acoustic backscatter also changed across many positive fronts within 3 depth strata (0-150 m, 150-400 m, and 400-500 m), revealing a front-related change in the acoustic scattering characteristics of the assemblages. The extent of vertical stratification of distinct scattering assemblages was also more pronounced offshore of positive fronts. Depth-stratified zooplankton samples collected by Mocness nets corroborated the autonomous measurements, showing copepod-dominated assemblages and decreased zooplankton body sizes offshore and euphausiid-dominated assemblages with larger median body sizes inshore of major frontal features.

  10. A study on bulk and skin temperature difference using observations from Atlantic and Pacific Coastal regions of United States

    NASA Astrophysics Data System (ADS)

    Alappattu, Denny P.; Wang, Qing; Yamaguchi, Ryan; Lind, Richard; Reynolds, Mike; Christman, Adam

    2017-05-01

    Analysis of bulk-skin sea surface temperature (SST) difference form the west and east coasts of United States is presented using the data collected from three field experiments. These experiments were conducted at offshore Duck, North Carolina and in the Monterey Bay of the California coastal region. Bulk SST measurements were made using conventional thermistors from a depth of one meter below the sea level. Infrared radiometers were used to measure the surface skin SST. Depending on measurement depth and prevailing conditions, the bulk SST can differ from skin SST by few tenths of a degree to O(1°C). Difference between bulk and skin SST arise from cools skin and warm layer effects. Bulk-skin SST difference (ΔSST) estimated from east coast observations varied from -0.46°C to 1.24°C. Here, the bulk SST was higher than skin SST most of the time during the observations. This indicates cool skin effect was the dominant factor determining the ΔSST in the east coast. For wind speeds less than 4 m s-1, we also noticed an increase in ΔSST. Additionally, for low winds (<4 m s-1) ΔSST also varied diurnally with the occurrence of generally higher ΔSST in the nighttime in comparison with daytime. Moreover, increase in downwelling longwave radiation reduced the bulk-skin SST difference. ΔSST calculated from the observation in the Monterey bay varied between 2.3° and -2.3°C. This was higher than the variability ΔSST observed at the east coast. Moreover, ΔSST variability observed at west coast was independent of wind speed.

  11. Offshore Wind Power Integration in severely fluctuating Wind Conditions

    NASA Astrophysics Data System (ADS)

    von Bremen, L.

    2010-09-01

    Strong power fluctuations from offshore wind farms that are induced by wind speed fluctuations pose a severe problem to the save integration of offshore wind power into the power supply system. Experience at the first large-scale offshore wind farm Horns Rev showed that spatial smoothing of power fluctuations within a single wind farm is significantly smaller than onshore results suggest when distributed wind farms of 160 MW altogether are connected to a single point of common-coupling. Wind power gradients larger than 10% of the rated capacity within 5 minutes require large amount of regulation power that is very expensive for the grid operator. It must be noted that a wind speed change of only 0.5m/s result in a wind power change of 10% (within the range of 9-11 m/s where the wind power curve is steepest). Hence, it is very important for the grid operator to know if strong fluctuations are likely or not. Observed weather conditions at the German wind energy research platform FINO1 in the German bight are used to quantify wind fluctuations. With a standard power curve these wind fluctuations are transfered to wind power. The aim is to predict the probability of exceedence of certain wind power gradients that occur in a time interval of e.g. 12 hours. During 2006 and 2009 the distribution of wind power fluctuations looks very similar giving hope that distinct atmospheric processes can be determined that act as a trigger. Most often high wind power fluctuations occur in a range of wind speeds between 9-12 m/s as can be expected from the shape of the wind power curve. A cluster analysis of the 500 hPa geopotential height to detect predominant weather regimes shows that high fluctuations are more likely in north-western flow. It is shown that most often high fluctuations occur in non-stable atmospheric stratification. The description of stratification by means of the vertical gradient of the virtual potential temperature is chosen to be indicative for convection, i.e. it can be assumed that a negative gradient indicates convection which leads to strong wind fluctuations in the updraft and downdraft of the cloud. Neural Networks are used to determine the probability of exceedence of wind power gradients from a set of atmospheric parameters that are taken from Numerical Weather Prediction Models. Parameters describing atmospheric stability, that are related to convection (e.g. rain rate) and that forecast wind gusts tend to carry most information to estimate expected wind power fluctuations.

  12. Coastal Ohio Wind Project for Reduced Barriers to Deployment of Offshore Wind Energy

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

    Gorsevski, Peter; Afjeh, Abdollah; Jamali, Mohsin

    The Coastal Ohio Wind Project was created to establish the viability of wind turbines on the coastal and offshore regions of Northern Ohio. The project’s main goal was to improve operational unit strategies used for environmental impact assessment of offshore turbines on lake wildlife by optimizing and fusing data from the multi-instrument surveillance system and providing an engineering analysis of potential design/operational alternatives for offshore wind turbines. The project also developed a general economic model for offshore WTG deployment to quantify potential revenue losses due to wind turbine shutdown related to ice and avian issues. In a previous phase ofmore » this project (Award Number: DE-FG36-06GO86096), we developed a surveillance system that was used to collect different parameters such as passage rates, flight paths, flight directions, and flight altitudes of nocturnal migrating species, movements of birds and bats, and bird calls for assessing patterns and peak passage rates during migration. To derive such parameters we used thermal IR imaging cameras, acoustic recorders, and marine radar Furuno (XANK250), which was coupled with a XIR3000B digitizing card from Russell Technologies and open source radR processing software. The integration yielded a development of different computational techniques and methods, which we further developed and optimized as a combined surveillance system. To accomplish this task we implemented marine radar calibration, optimization of processing parameters, and fusion of the multi-sensor data in order to make inferences about the potential avian targets. The main goal of the data fusion from the multi-sensor environment was aimed at reduction of uncertainties while providing acceptable confidence levels with detailed information about the migration patterns. Another component comprised of an assessment of wind resources in a near lake environment and an investigation of the effectiveness of ice coating materials to mitigate adverse effects of ice formation on wind turbine structures. Firstly, a Zephir LiDAR system was acquired and installed at Woodlands School in Huron, Ohio, which is located near Lake Erie. Wind resource data were obtained at ten measurement heights, 200m, 150m, 100m, 80m, 60m, 40m, 38m, 30m, 20m, and 10m. The Woodlands School’s wind turbine anemometer also measured the wind speed at the hub height. These data were collected for approximately one year. The hub anemometer data correlated well with the LiDAR wind speed measurements at the same height. The data also showed that on several days different power levels were recorded by the turbine at the same wind speed as indicated by the hub anemometer. The corresponding LiDAR data showed that this difference can be attributed to variability in the wind over the turbine rotor swept area, which the hub anemometer could not detect. The observation suggests that single point hub wind velocity measurements are inadequate to accurately estimate the power generated by a turbine at all times since the hub wind speed is not a good indicator of the wind speed over the turbine rotor swept area when winds are changing rapidly. To assess the effectiveness of ice coatings to mitigate the impact of ice on turbine structures, a closed-loop icing research tunnel (IRT) was designed and constructed. By controlling the temperature, air speed, water content and liquid droplet size, the tunnel enabled consistent and repeatable ice accretion under a variety of conditions with temperatures between approximately 0°C and -20°C and wind speeds up to 40 miles per hour in the tunnel’s test section. The tunnel’s cooling unit maintained the tunnel temperature within ±0.2°C. The coatings evaluated in the study were Boyd Coatings Research Company’s CRC6040R3, MicroPhase Coatings Inc.’s PhaseBreak TP, ESL and Flex coatings. Similar overall performance was observed in all coatings tested in that water droplets form on the test articles beginning at the stagnation region and spreading in the downstream direction in time. When comparing ice accumulation characteristics for the four coatings tested, for ice thickness during accumulation the CRC6040R3 had the least, followed by the ESL, Flex, and TP. However, when comparing the coatings’ ability to reduce ice adhesion, the Flex showed the highest adhesion reduction, followed by the ESL, TP and CRC 6040R3 coatings. The ice accumulated on the Flex coated surface shed under gravity when rotated 90 degrees following the tests while the other coatings required application of varying degrees of force to remove the ice. In conclusion, the ice coatings tested were not sufficient in preventing ice accumulation on all surfaces. However, Flex coating shows promise in mitigating ice on the rotor blades under the gravitational and centrifugal forces. Only the effect of gravity in shedding the ice was considered in this study. Further research will be needed to evaluate this coating on rotating blades in the icing tunnel to characterize its effectiveness. Lastly, the development of economic feasibility models used existing approaches adapted for offshore deployment in marine settings to one more suitable for Lake Erie deployment. Two different wind turbine models were tested and dynamic return on investment (ROI) model scenarios were generated. For the purpose of estimating power generation three bladed wind turbines of 3 MW capacity were selected including Model1- Leitwind LTW101-3.000-kW and Model2-Vostro V90-3.0 MW. The analysis were based on the revenue aspect of decision making of deploying wind turbines in the Ohio coastal region. The installation cost, maintenance and operational aspects were disregarded due to unavailability of data. The adjusted varying price (residential and industrial sector) and projected future price of electricity in different years suggested that the Leitwind model could generate $32.4 million of revenue in 25 years if the supply electricity is in the residential sector, while it would be $14.7million if the supply is in the industrial sector. For the Vostro model these figures are $28.6 million for residential sector and $12.9 million for industrial sector for 25 years.« less

  13. Frontal Eddy Dynamics (FRED) experiment off North Carolina: Volume 2. Technical report

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

    Ebbesmeyer, C.C.

    1988-03-01

    In preparation for oil and gas lease sales on the outer continental shelf offshore of North Carolina, the Minerals Management Service was requested to investigate the potential transport and impacts of oil spilled offshore. Of particular concern is estimating the movement of spilled oil, especially the probability of shoreward transport and/or beaching of the floatable fraction. Although the speed and location of the Gulf Stream are well known, knowledge of the meanders of the Gulf Stream is limited. How the circulatory structure and movement of associated frontal eddies and filaments affect the North Carolina coastal waters is not clear. Thismore » present study investigates the interactions of these circulatory elements and follows the evolution of frontal eddies as they migrate along the North Carolina coast.« less

  14. Lake Michigan: Nearshore variability and a nearshore-offshore distinction in water quality

    EPA Science Inventory

    We conducted a high-resolution survey of the Lake Michigan nearshore using towed electronic instrumentation and fixed station sampling (1049 km at the approximate 20-m depth contour and grab samples at 15 sites). The principal variability in the alongshore reach was generally re...

  15. 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

  16. Coastal circulation and water-column properties in the National Park of American Samoa, February–July 2015

    USGS Publications Warehouse

    Storlazzi, Curt; Cheriton, Olivia; Rosenberger, Kurt; Logan, Joshua; Clark, Timothy B.

    2017-06-06

    There is little information on the oceanography in the National Park of American Samoa (NPSA). The transport pathways for potentially harmful constituents of land-derived runoff, as well as larvae and other planktonic organisms, are driven by nearshore circulation patterns. To evaluate the processes affecting coral reef ecosystem health, it is first necessary to understand the oceanographic processes driving nearshore circulation, residence times, exposure rates, and transport pathways. Information on how the NPSA’s natural resources may be affected by anthropogenic sources of pollution, sediment runoff, larval transport, or modifications to the marine protected areas is critical to NPSA resource managers for understanding and ultimately managing coastal and marine resources. To address this need, U.S. Geological Survey and U.S. National Park Service researchers conducted a collaborative study in 2015 to determine coastal circulation patterns and water-column properties along north-central Tutuila, American Samoa, in an area focused on NPSA’s Tutuila Unit and its coral reef ecosystem. The continuous measurements of waves, currents, tides, and water-column properties from these instrument deployments over 150 days, coupled with available meteorological measurements of wind and rainfall, provide information on nearshore circulation and the variability in these hydrodynamic properties for NPSA’s Tutuila Unit. In general, circulation was strongly driven by regional winds at longer (greater than day) timescales and by tides at shorter (less than day) timescales. Flows were primarily directed along shore, with current speeds faster offshore to the north and slower closer to shore, especially in embayments. Water-column properties exhibit strong seasonality coupled to the shift from non-trade wind season to trade wind season. During the non-trade wind season that was characterized by variable winds and larger waves in the NPSA, waters were warmer, slightly more saline, relatively less optically clear, and more stratified. When winds shifted to a more consistent trade wind pattern in the austral fall, the waters cooled and became less stratified because of decreased insolation. There are consistent spatial patterns in water column characteristics—Waters were warmer and less saline near the surface and closer to shore, especially in embayments, which tended to be more turbid, less clear, and characterized by higher chlorophyll than waters offshore. Water residence times were shorter farther offshore and longer closer to shore and in embayments, but varied spatially because of different forcing. Warmer, lower salinity, higher chlorophyll, and more turbid waters in embayments tend to reside in those locations for much greater durations, resulting in greater exposure of embayment ecosystems to those waters. This is in contrast with waters farther offshore, where the combination of shorter residence times and cooler, higher salinity water results in less exposure to land runoff. Understanding coastal circulation patterns and water-column properties in NPSA’s waters along north-central Tutuila may help to better understand how meteorological and oceanographic processes, at the regional and local scale, affect coral reef health and sustainability in this region.

  17. Multiple and variable speed electrical generator systems for large wind turbines

    NASA Technical Reports Server (NTRS)

    Andersen, T. S.; Hughes, P. S.; Kirschbaum, H. S.; Mutone, G. A.

    1982-01-01

    A cost effective method to achieve increased wind turbine generator energy conversion and other operational benefits through variable speed operation is presented. Earlier studies of multiple and variable speed generators in wind turbines were extended for evaluation in the context of a specific large sized conceptual design. System design and simulation have defined the costs and performance benefits which can be expected from both two speed and variable speed configurations.

  18. Earth Observations in Support of Offshore Wind Energy Management in the Euro-Atlantic Region

    NASA Astrophysics Data System (ADS)

    Liberato, M. L. R.

    2017-12-01

    Climate change is one of the most important challenges in the 21st century and the energy sector is a major contributor to GHG emissions. Therefore greater attention has been given to the evaluation of offshore wind energy potentials along coastal areas, as it is expected offshore wind energy to be more efficient and cost-effective in the near future. Europe is developing offshore sites for over two decades and has been growing at gigawatt levels in annual capacity. Portugal is among these countries, with the development of a 25MW WindFloat Atlantic wind farm project. The international scientific community has developed robust ability on the research of the climate system components and their interactions. Climate scientists have gained expertise in the observation and analysis of the climate system as well as on the improvement of model and predictive capabilities. Developments on climate science allow advancing our understanding and prediction of the variability and change of Earth's climate on all space and time scales, while improving skilful climate assessments and tools for dealing with future challenges of a warming planet. However the availability of greater datasets amplifies the complexity on manipulation, representation and consequent analysis and interpretation of such datasets. Today the challenge is to translate scientific understanding of the climate system into climate information for society and decision makers. Here we discuss the development of an integration tool for multidisciplinary research, which allows access, management, tailored pre-processing and visualization of datasets, crucial to foster research as a service to society. One application is the assessment and monitoring of renewable energy variability, such as wind or solar energy, at several time and space scales. We demonstrate the ability of the e-science platform for planning, monitoring and management of renewable energy, particularly offshore wind energy in the Euro-Atlantic region. Further we explore the automatization of processes using different domains and datasets, which facilitate further research in evaluating and understanding renewable energy variability. AcknowledgementsThis work is supported by Foundation for Science and Technology (FCT), Portugal, project UID/GEO/50019/2013 - Instituto Dom Luiz.

  19. Coastal loading and transport of Escherichia coli at an embayed beach in Lake Michigan

    USGS Publications Warehouse

    Ge, Z.; Nevers, M.B.; Schwab, D.J.; Whitman, R.L.

    2010-01-01

    A Chicago beach in southwest Lake Michigan was revisited to determine the influence of nearshore hydrodynamic effects on the variability of Escherichia coli (E. coli) concentration in both knee-deep and offshore waters. Explanatory variables that could be used for identifying potential bacteria loading mechanisms, such as bed shear stress due to a combined wave-current boundary layer and wave runup on the beach surface, were derived from an existing wave and current database. The derived hydrodynamic variables, along with the actual observed E. coli concentrations in the submerged and foreshore sands, were expected to reveal bacteria loading through nearshore sediment resuspension and swash on the beach surface, respectively. Based on the observation that onshore waves tend to result in a more active hydrodynamic system at this embayed beach, multiple linear regression analysis of onshore-wave cases further indicated the significance of sediment resuspension and the interaction of swash with gull-droppings in explaining the variability of E. coli concentration in the knee-deep water. For cases with longshore currents, numerical simulations using the Princeton Ocean Model revealed current circulation patterns inside the embayment, which can effectively entrain bacteria from the swash zone into the central area of the embayed beach water and eventually release them out of the embayment. The embayed circulation patterns are consistent with the statistical results that identified that 1) the submerged sediment was an additional net source of E. coli to the offshore water and 2) variability of E. coli concentration in the knee-deep water contributed adversely to that in the offshore water for longshore-current cases. The embayed beach setting and the statistical and numerical methods used in the present study have wide applicability for analyzing recreational water quality at similar marine and freshwater sites. ?? 2010 American Chemical Society.

  20. Detection of radioactive particles offshore by γ-ray spectrometry Part I: Monte Carlo assessment of detection depth limits

    NASA Astrophysics Data System (ADS)

    Maučec, M.; de Meijer, R. J.; Rigollet, C.; Hendriks, P. H. G. M.; Jones, D. G.

    2004-06-01

    A joint research project between the British Geological Survey and Nuclear Geophysics Division of the Kernfysisch Versneller Instituut, Groningen, the Netherlands, was commissioned by the United Kingdom Atomic Energy Authority to establish the efficiency of a towed seabed γ-ray spectrometer for the detection of 137Cs-containing radioactive particles offshore Dounreay, Scotland. Using the MCNP code, a comprehensive Monte Carlo feasibility study was carried out to model various combinations of geological matrices, particle burial depth and lateral displacement, source activity and detector material. To validate the sampling and absolute normalisation procedures of MCNP for geometries including multiple (natural and induced) heterogeneous sources in environmental monitoring, a benchmark experiment was conducted. The study demonstrates the ability of seabed γ-ray spectrometry to locate radioactive particles offshore and to distinguish between γ count rate increases due to particles from those due to enhanced natural radioactivity. The information presented in this study will be beneficial for estimation of the inventory of 137Cs particles and their activity distribution and for the recovery of particles from the sea floor. In this paper, the Monte Carlo assessment of the detection limits is presented. The estimation of the required towing speed and acquisition times and their application to radioactive particle detection and discrimination offshore formed a supplementary part of this study.

  1. Gis-Based Wind Farm Site Selection Model Offshore Abu Dhabi Emirate, Uae

    NASA Astrophysics Data System (ADS)

    Saleous, N.; Issa, S.; Mazrouei, J. Al

    2016-06-01

    The United Arab Emirates (UAE) government has declared the increased use of alternative energy a strategic goal and has invested in identifying and developing various sources of such energy. This study aimed at assessing the viability of establishing wind farms offshore the Emirate of Abu Dhabi, UAE and to identify favourable sites for such farms using Geographic Information Systems (GIS) procedures and algorithms. Based on previous studies and on local requirements, a set of suitability criteria was developed including ocean currents, reserved areas, seabed topography, and wind speed. GIS layers were created and a weighted overlay GIS model based on the above mentioned criteria was built to identify suitable sites for hosting a new offshore wind energy farm. Results showed that most of Abu Dhabi offshore areas were unsuitable, largely due to the presence of restricted zones (marine protected areas, oil extraction platforms and oil pipelines in particular). However, some suitable sites could be identified, especially around Delma Island and North of Jabal Barakah in the Western Region. The environmental impact of potential wind farm locations and associated cables on the marine ecology was examined to ensure minimal disturbance to marine life. Further research is needed to specify wind mills characteristics that suit the study area especially with the presence of heavy traffic due to many oil production and shipping activities in the Arabian Gulf most of the year.

  2. Joint excitation synchronization characteristics of fatigue test for offshore wind turbine blade

    NASA Astrophysics Data System (ADS)

    Zhang, Lei-an; Yu, Xiang-yong; Wei, Xiu-ting; Liu, Wei-sheng

    2018-02-01

    In the case of the stiffness of offshore wind turbine blade is relatively large, the joint excitation device solves the problem of low accuracy of bending moment distribution, insufficient driving ability and long fatigue test period in single-point loading. In order to study the synchronous characteristics of joint excitation system, avoid blade vibration disturbance. First, on the base of a Lagrange equation, a mathematical model of combined excitation is formulated, and a numerical analysis of vibration synchronization is performed. Then, the model is constructed via MATLAB/Simulink, and the effect of the phase difference on the vibration synchronization characteristics is obtained visually. Finally, a set of joint excitation platform for the fatigue test of offshore wind turbine blades are built. The parameter measurement scheme is given and the correctness of the joint excitation synchronization in the simulation model is verified. The results show that when the rotational speed difference is 2 r/min, 30 r/min, the phase difference is 0, π/20, π/8 and π/4, as the rotational speed difference and the phase difference increase, the time required for the blade to reach a steady state is longer. When the phase difference is too large, the electromechanical coupling can no longer make the joint excitation device appear self-synchronizing phenomenon, so that the value of the phase difference develops toward a fixed value (not equal to 0), and the blade vibration disorder is serious, at this time, the effect of electromechanical coupling must be eliminated. The research results provide theoretical basis for the subsequent decoupling control algorithm and synchronization control strategy, and have good application value.

  3. Rotordynamic Feasibility of a Conceptual Variable-Speed Power Turbine Propulsion System for Large Civil Tilt-Rotor Applications

    NASA Technical Reports Server (NTRS)

    Howard, Samuel

    2012-01-01

    A variable-speed power turbine concept is analyzed for rotordynamic feasibility in a Large Civil Tilt-Rotor (LCTR) class engine. Implementation of a variable-speed power turbine in a rotorcraft engine would enable high efficiency propulsion at the high forward velocities anticipated of large tilt-rotor vehicles. Therefore, rotordynamics is a critical issue for this engine concept. A preliminary feasibility study is presented herein to address this concern and identify if variable-speed is possible in a conceptual engine sized for the LCTR. The analysis considers critical speed placement in the operating speed envelope, stability analysis up to the maximum anticipated operating speed, and potential unbalance response amplitudes to determine that a variable-speed power turbine is likely to be challenging, but not impossible to achieve in a tilt-rotor propulsion engine.

  4. Speed control variable rate irrigation

    USDA-ARS?s Scientific Manuscript database

    Speed control variable rate irrigation (VRI) is used to address within field variability by controlling a moving sprinkler’s travel speed to vary the application depth. Changes in speed are commonly practiced over areas that slope, pond or where soil texture is predominantly different. Dynamic presc...

  5. Effect of trotting speed on kinematic variables measured by use of extremity-mounted inertial measurement units in nonlame horses performing controlled treadmill exercise.

    PubMed

    Cruz, Antonio M; Vidondo, Beatriz; Ramseyer, Alessandra A; Maninchedda, Ugo E

    2018-02-01

    OBJECTIVE To assess effects of speed on kinematic variables measured by use of extremity-mounted inertial measurement units (IMUs) in nonlame horses performing controlled exercise on a treadmill. ANIMALS 10 nonlame horses. PROCEDURES 6 IMUs were attached at predetermined locations on 10 nonlame Franches Montagnes horses. Data were collected in triplicate during trotting at 3.33 and 3.88 m/s on a high-speed treadmill. Thirty-three selected kinematic variables were analyzed. Repeated-measures ANOVA was used to assess the effect of speed. RESULTS Significant differences between the 2 speeds were detected for most temporal (11/14) and spatial (12/19) variables. The observed spatial and temporal changes would translate into a gait for the higher speed characterized by increased stride length, protraction and retraction, flexion and extension, mediolateral movement of the tibia, and symmetry, but with similar temporal variables and a reduction in stride duration. However, even though the tibia coronal range of motion was significantly different between speeds, the high degree of variability raised concerns about whether these changes were clinically relevant. For some variables, the lower trotting speed apparently was associated with more variability than was the higher trotting speed. CONCLUSIONS AND CLINICAL RELEVANCE At a higher trotting speed, horses moved in the same manner (eg, the temporal events investigated occurred at the same relative time within the stride). However, from a spatial perspective, horses moved with greater action of the segments evaluated. The detected changes in kinematic variables indicated that trotting speed should be controlled or kept constant during gait evaluation.

  6. The impact of land and sea surface variations on the Delaware sea breeze at local scales

    NASA Astrophysics Data System (ADS)

    Hughes, Christopher P.

    The summertime climate of coastal Delaware is greatly influenced by the intensity, frequency, and location of the local sea breeze circulation. Sea breeze induced changes in temperature, humidity, wind speed, and precipitation influence many aspects of Delaware's economy by affecting tourism, farming, air pollution density, energy usage, and the strength, and persistence of Delaware's wind resource. The sea breeze front can develop offshore or along the coastline and often creates a near surface thermal gradient in excess of 5°C. The purpose of this dissertation is to investigate the dynamics of the Delaware sea breeze with a focus on the immediate coastline using observed and modeled components, both at high resolutions (~200m). The Weather Research and Forecasting model (version 3.5) was employed over southern Delaware with 5 domains (4 levels of nesting), with resolutions ranging from 18km to 222m, for June 2013 to investigate the sensitivity of the sea breeze to land and sea surface variations. The land surface was modified in the model to improve the resolution, which led to the addition of land surface along the coastline and accounted for recent urban development. Nine-day composites of satellite sea surface temperatures were ingested into the model and an in-house SST forcing dataset was developed to account for spatial SST variation within the inland bays. Simulations, which include the modified land surface, introduce a distinct secondary atmospheric circulation across the coastline of Rehoboth Bay when synoptic offshore wind flow is weak. Model runs using high spatial- and temporal-resolution satellite sea surface temperatures over the ocean indicate that the sea breeze landfall time is sensitive to the SST when the circulation develops offshore. During the summer of 2013 a field campaign was conducted in the coastal locations of Rehoboth Beach, DE and Cape Henlopen, DE. At each location, a series of eleven small, autonomous thermo-sensors (i-buttons) were placed along 1-km transects oriented perpendicular to the coastline where each sensor recorded temperatures at five-minute intervals. This novel approach allows for detailed characterization of the sea breeze front development over the immediate coastline not seen in previous studies. These observations provide evidence of significant variability in frontal propagation (advancing, stalling, and retrograding) within the first kilometer of the coast. Results from this observational study indicate that the land surface has the largest effect on the frontal location when the synoptic winds have a strong offshore component, which forces the sea breeze front to move slowly through the region. When this happens, the frequency of occurrence and sea breeze frontal speed decreases consistently across the first 500 m of Rehoboth Beach, after which, the differences become insignificant. At Cape Henlopen the decrease in intensity across the transect is much less evident and the reduction in frequency does not occur until after the front is 500 m from the coast. Under these conditions at Rehoboth Beach, the near surface air behind the front warms due to the land surface which, along with the large surface friction component of the urbanized land surface, causes the front to slow as it traverses the region. Observation and modeling results suggest that the influence of variations in the land and sea surface on the sea breeze circulation is complex and highly dependent on the regional synoptic wind regime. This result inspired the development of a sea breeze prediction algorithm using a generalized linear regression model which, incorporated real-time synoptic conditions to forecast the likelihood of a sea breeze front passing through a coastal station. The forecast skill increases through the morning hours after sunrise. The inland synoptic wind direction is the most influential variable utilized by the algorithm. Such a model could be enhanced to forecast local temperature with coonfidence, which could be useful in an economic or energy usage model.

  7. Multi-scale responses of scattering layers to environmental variability in Monterey Bay, California

    NASA Astrophysics Data System (ADS)

    Urmy, Samuel S.; Horne, John K.

    2016-07-01

    A 38 kHz upward-facing echosounder was deployed on the seafloor at a depth of 875 m in Monterey Bay, CA, USA (36° 42.748‧N, 122° 11.214‧W) from 27 February 2009 to 18 August 2010. This 18-month record of acoustic backscatter was compared to oceanographic time series from a nearby data buoy to investigate the responses of animals in sound-scattering layers to oceanic variability at seasonal and sub-seasonal time scales. Pelagic animals, as measured by acoustic backscatter, moved higher in the water column and decreased in abundance during spring upwelling, attributed to avoidance of a shoaling oxycline and advection offshore. Seasonal changes were most evident in a non-migrating scattering layer near 500 m depth that disappeared in spring and reappeared in summer, building to a seasonal maximum in fall. At sub-seasonal time scales, similar responses were observed after individual upwelling events, though they were much weaker than the seasonal relationship. Correlations of acoustic backscatter with oceanographic variability also differed with depth. Backscatter in the upper water column decreased immediately following upwelling, then increased approximately 20 days later. Similar correlations existed deeper in the water column, but at increasing lags, suggesting that near-surface productivity propagated down the water column at 10-15 m d-1, consistent with sinking speeds of marine snow measured in Monterey Bay. Sub-seasonal variability in backscatter was best correlated with sea-surface height, suggesting that passive physical transport was most important at these time scales.

  8. Macroalgal diversity along an inshore-offshore environmental gradient in the Jakarta Bay - Thousand Islands reef complex, Indonesia

    NASA Astrophysics Data System (ADS)

    Draisma, Stefano G. A.; Prud'homme van Reine, Willem F.; Herandarudewi, Sekar M. C.; Hoeksema, Bert W.

    2018-01-01

    The Jakarta Bay - Thousand Islands reef complex extends to more than 80 km in northwest direction from the major conurbation Jakarta (Indonesia) along a pronounced inshore to offshore environmental gradient. The present study aims to determine to what extent environmental factors can explain the composition of macroalgal communities on the reefs off Jakarta. Therefore, the presence-absence of 67 macroalgal taxa was recorded for 27 sampling sites along the inshore-offshore disturbance gradient and analysed with substrate variables and water quality variables. The macroalgal richness pattern matches the pattern of other reef taxa. The 27 sites could be assigned to one of four geographical zones with 85% certainty based on their macroalgal taxon assemblages. These four zones (i.e., Jakarta Bay and, respectively, South, Central, and North Thousand Islands) had significantly different macroalgal assemblages, except for the North and South zones. Along the nearshore gradient there was a greater shift in taxon composition than within the central Thousand Islands. The patterns of ten habitat and water quality variables resembled the macroalgal diversity patterns by 56%. All ten variables together explained 69% of the variation in macroalgal composition. Shelf depth, % sand cover, gelbstoff/detrital material, chlorophyll a concentration, seawater surface temperature, and % dead coral cover were the best predictors of seaweed flora composition. Furthermore, 44 macroalgal species represented new records for the area. The present study provides important baseline data of macroalgae in the area for comparison in future biodiversity assessments in the area and elsewhere in the region.

  9. Prevalence and occupational predictors of psychological distress in the offshore petroleum industry: a prospective study.

    PubMed

    Nielsen, Morten Birkeland; Tvedt, Sturle Danielsen; Matthiesen, Stig Berge

    2013-11-01

    This study investigates the prevalence of psychological distress and stressors in the work environment as prospective predictors of distress, among employees in the offshore petroleum industry. Correlation and logistic regression analyses were employed to examine longitudinal relationships between stressors and distress in a randomly drawn sample of 741 employees from the Norwegian petroleum offshore industry. Time lag between baseline and follow-up was 6 months. Work environment stressors included safety factors, leadership, and job characteristics. The prevalence of psychological distress was 9 % at baseline and 8 % at follow-up. All investigated work environment factors correlated with subsequent distress. In bivariate logistic regression analyses, caseness of distress was predicted by baseline distress, near miss accidents, risk perception, poor safety climate, tyrannical leadership, laissez-faire leadership, job demands, and workplace bullying. After adjustment for baseline distress, control variables, and other predictors, laissez-faire leadership (OR = 1.69; 95 % CI: 1.12-2.54) and exposure to bullying (OR = 1.49; 95 % CI: 1.07-2.10) emerged as the most robust predictors of subsequent distress. The findings show that the prevalence of psychological distress is lower among offshore employees than in the general population. Although offshore workers operate in a physically challenging context, their mental health is mainly influenced by stressors in the psychosocial work environment. This highlights the importance of developing and implementing psychosocial safety interventions within the offshore industry.

  10. Hydrodynamic trapping in the Cretaceous Nahr Umr lower sand of the North Area, Offshore Qatar

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

    Wells, P.R.A.

    A hydrodynamic model is described to account for oil and gas occurrences in the Cretaceous of offshore Qatar, in the Arabian Gulf. Variable and inconsistent fluid levels and variable formation water potentials and salinities cannot be explained by combinations of stratigraphic and structural trapping. Indeed, there is no structural closure to the southwest of the oil and gas accumulations. The water-potential and salinity data and oil distribution are consistent with this model and indicate that a vigorous hydrodynamic system pervades the Cretaceous of the Arabian Gulf region. Extensive upward cross-formational discharge is taking place in the North Area. This cross-formationmore » water flow could be partly responsible for localized leaching and reservoir enhancement in the chalky limestones.« less

  11. Total and mesoscale long-range offshore transport of organic carbon from the Canary Upwelling System to the open North Atlantic

    NASA Astrophysics Data System (ADS)

    Lovecchio, Elisa; Gruber, Nicolas; Münnich, Matthias; Byrne, David; Lachkar, Zouhair

    2017-04-01

    The ocean's biological pump is often simplified to a purely vertical process. Nevertheless, the horizontal transport of organic carbon can be substantial, especially in coastal regions such as the Canary Upwelling System (CanUS), one of the four major Eastern Boundary Upwelling Systems, characterized by high shelf productivity and an intense lateral exchange of mass and tracers with the adjacent oligotrophic waters. Despite its importance, the magnitude of this lateral flux has not yet been constrained. Here, we quantify the lateral export of organic carbon from the CanUS to the open North Atlantic using the Regional Ocean Modeling System (ROMS) coupled to a biogeochemical ecosystem module. The model is run on an Atlantic telescopic grid with a strong refinement towards the north-western African shelf, to combine an eddy-resolving resolution in the region of study with a full Atlantic basin perspective. Our results reveal that over the whole CanUS more than a third of the Net Community Production (NCP) in the nearshore 100 km is transported offshore, amounting to about 19 Tg C yr-1. The offshore transport dominates the lateral fluxes up to 1500 km into the subtropical North Atlantic, along the way adding organic carbon to the upper 100 m at rates of between 8% and 34% of the alongshore average NCP. The remineralization at depth of this extra organic carbon leads to strongly negative vertically-integrated NCP throughout the whole offshore region of the CanUS, i.e. it makes the offshore region net heterotrophic. Substantial subregional variability shapes the spatial pattern of the fluxes in the CanUS. In particular, the central subregion surrounding Cape Blanc is the most efficient in terms of collecting and laterally exporting the organic carbon, resulting in a sharp peak of watercolumn heterotrophy. A decomposition of the organic carbon fluxes into a time-mean component and a time-variable, i.e., mesoscale component reveals a large contribution of the mesoscale activity to the offshore flux of organic carbon at every latitude. The mesoscale offshore transport ranges in intensity between 20% and 50% of the mean flux, reaching as far offshore as the mean transport. In its alongshore component, the mesoscale transport opposes the mean transport, recirculating laterally the organic carbon against the mean currents. Fundamental differences between the contributions of filaments, cyclonic and anticyclonic eddies to the transport of organic carbon are highlighted and discussed in a subregional perspective.

  12. Comparison between variable and constant rotor speed operation on WINDMEL-II

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

    Sasamoto, Akira; Matsumiya, Hikaru; Kawamura, Shunji

    1996-10-01

    On a wind turbine control system for rotor revolution speed, it is believed that variable speed operation has the advantages over constant speed from a view point of both aerodynamics and mechanics. However, there is no experimental study which shows the differences. In this report, the authors intend to clarify the differences about shaft torque by using experimental data, from a new wind turbine system which has both variable and constant operation. The result in observation of the experimental data shows that variable speed operational shaft torque is lower than constant speed operational one.

  13. United States Offshore Wind Resource Assessment

    NASA Astrophysics Data System (ADS)

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

    2008-12-01

    The utilization of the offshore wind resource will be necessary if the United States is to meet the goal of having 20% of its electricity generated by wind power because many of the electrical load centers in the country are located along the coastlines. The United States Department of Energy, through its National Renewable Energy Laboratory (NREL), has supported an ongoing project to assess the wind resource for the offshore regions of the contiguous United States including the Great Lakes. Final offshore maps with a horizontal resolution of 200 meters (m) have been completed for Texas, Louisiana, Georgia, northern New England, and the Great Lakes. The ocean wind resource maps extend from the coastline to 50 nautical miles (nm) offshore. The Great Lake maps show the resource for all of the individual lakes. These maps depict the wind resource at 50 m above the water as classes of wind power density. Class 1 represents the lowest available wind resource, while Class 7 is the highest resource. Areas with Class 5 and higher wind resource can be economical for offshore project development. As offshore wind turbine technology improves, areas with Class 4 and higher resource should become economically viable. The wind resource maps are generated using output from a modified numerical weather prediction model combined with a wind flow model. The preliminary modeling is performed by AWS Truewind under subcontract to NREL. The preliminary model estimates are sent to NREL to be validated. NREL validates the preliminary estimates by comparing 50 m model data to available measurements that are extrapolated to 50 m. The validation results are used to modify the preliminary map and produce the final resource map. The sources of offshore wind measurement data include buoys, automated stations, lighthouses, and satellite- derived ocean wind speed data. The wind electric potential is represented as Megawatts (MW) of potential installed capacity and is based on the square kilometers (sq. km) of Class 5 and higher wind resource found in a specific region. NREL uses a factor of 5 MW of installed capacity per sq. km of "windy water" for its raw electric potential calculations. NREL uses Geographic Information System data to break down the offshore wind potential by state, water depth, and distance from shore. The wind potential estimates are based on the updated maps, and on previous offshore resource information for regions where new maps are not available. The estimates are updated as new maps are completed. For example, the updated Texas offshore map shows almost 3000 sq. km of Class 5 resource within 10 nm of shore and nearly 2000 sq. km of Class 5 resource or 10,000 MW of potential installed capacity in water depths of less than 30 m. NREL plans to develop exclusion criteria to further refine the offshore wind potential

  14. Effect of Running Speed and Leg Prostheses on Mediolateral Foot Placement and Its Variability

    PubMed Central

    Arellano, Christopher J.; McDermott, William J.; Kram, Rodger; Grabowski, Alena M.

    2015-01-01

    This study examined the effects of speed and leg prostheses on mediolateral (ML) foot placement and its variability in sprinters with and without transtibial amputations. We hypothesized that ML foot placement variability would: 1. increase with running speed up to maximum speed and 2. be symmetrical between the legs of non-amputee sprinters but asymmetrically greater for the affected leg of sprinters with a unilateral transtibial amputation. We measured the midline of the body (kinematic data) and center of pressure (kinetic data) in the ML direction while 12 non-amputee sprinters and 7 Paralympic sprinters with transtibial amputations (6 unilateral, 1 bilateral) ran across a range of speeds up to maximum speed on a high-speed force measuring treadmill. We quantified ML foot placement relative to the body’s midline and its variability. We interpret our results with respect to a hypothesized relation between ML foot placement variability and lateral balance. We infer that greater ML foot placement variability indicates greater challenges with maintaining lateral balance. In non-amputee sprinters, ML foot placement variability for each leg increased substantially and symmetrically across speed. In sprinters with a unilateral amputation, ML foot placement variability for the affected and unaffected leg also increased substantially, but was asymmetric across speeds. In general, ML foot placement variability for sprinters with a unilateral amputation was within the range observed in non-amputee sprinters. For the sprinter with bilateral amputations, both affected legs exhibited the greatest increase in ML foot placement variability with speed. Overall, we find that maintaining lateral balance becomes increasingly challenging at faster speeds up to maximum speed but was equally challenging for sprinters with and without a unilateral transtibial amputation. Finally, when compared to all other sprinters in our subject pool, maintaining lateral balance appears to be the most challenging for the Paralympic sprinter with bilateral transtibial amputations. PMID:25590634

  15. Numerical and experimental results on the spectral wave transfer in finite depth

    NASA Astrophysics Data System (ADS)

    Benassai, Guido

    2016-04-01

    Determination of the form of the one-dimensional surface gravity wave spectrum in water of finite depth is important for many scientific and engineering applications. Spectral parameters of deep water and intermediate depth waves serve as input data for the design of all coastal structures and for the description of many coastal processes. Moreover, the wave spectra are given as an input for the response and seakeeping calculations of high speed vessels in extreme sea conditions and for reliable calculations of the amount of energy to be extracted by wave energy converters (WEC). Available data on finite depth spectral form is generally extrapolated from parametric forms applicable in deep water (e.g., JONSWAP) [Hasselmann et al., 1973; Mitsuyasu et al., 1980; Kahma, 1981; Donelan et al., 1992; Zakharov, 2005). The present paper gives a contribution in this field through the validation of the offshore energy spectra transfer from given spectral forms through the measurement of inshore wave heights and spectra. The wave spectra on deep water were recorded offshore Ponza by the Wave Measurement Network (Piscopia et al.,2002). The field regressions between the spectral parameters, fp and the nondimensional energy with the fetch length were evaluated for fetch-limited sea conditions. These regressions gave the values of the spectral parameters for the site of interest. The offshore wave spectra were transfered from the measurement station offshore Ponza to a site located offshore the Gulf of Salerno. The offshore local wave spectra so obtained were transfered on the coastline with the TMA model (Bouws et al., 1985). Finally the numerical results, in terms of significant wave heights, were compared with the wave data recorded by a meteo-oceanographic station owned by Naples Hydrographic Office on the coastline of Salerno in 9m depth. Some considerations about the wave energy to be potentially extracted by Wave Energy Converters were done and the results were discussed.

  16. Application of inverse dispersion model for estimating volatile organic compounds emitted from the offshore industrial park

    NASA Astrophysics Data System (ADS)

    Tsai, M.; Lee, C.; Yu, H.

    2013-12-01

    In the last 20 years, the Yunlin offshore industrial park has significantly contributed to the economic development of Taiwan. Its annual production value has reached almost 12 % of Taiwan's GDP in 2012. The offshore industrial park also balanced development of urban and rural in areas. However, the offshore industrial park is considered the major source of air pollution to nearby counties, especially, the emission of Volatile Organic Compounds(VOCs). Studies have found that exposures to high level of some VOCs have caused adverse health effects on both human and ecosystem. Since both health and ecological effects of air pollution have been the subject of numerous studies in recent years, it is a critical issue in estimating VOCs emissions. Nowadays emission estimation techniques are usually used emissions factors in calculation. Because the methodology considered totality of equipment activities based on statistical assumptions, it would encounter great uncertainty between these coefficients. This study attempts to estimate VOCs emission of the Yunlin Offshore Industrial Park using an inverse atmospheric dispersion model. The inverse modeling approach will be applied to the combination of dispersion modeling result which input a given one-unit concentration and observations at air quality stations in Yunlin. The American Meteorological Society-Environmental Protection Agency Regulatory Model (AERMOD) is chosen as the tool for dispersion modeling in the study. Observed concentrations of VOCs are collected by the Taiwanese Environmental Protection Administration (TW EPA). In addition, the study also analyzes meteorological data including wind speed, wind direction, pressure and temperature etc. VOCs emission estimations from the inverse atmospheric dispersion model will be compared to the official statistics released by Yunlin Offshore Industrial Park. Comparison of estimated concentration from inverse dispersion modeling and official statistical concentrations will give a better understanding about the uncertainty of regulatory methodology. The model results will be discussed with the importance of evaluating air pollution exposure in risk assessment.

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

    NASA Astrophysics Data System (ADS)

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

    2013-12-01

    The U.S. Department of Energy has estimated that over 50 GW of offshore wind power will be required for the United States to generate 20% of its electricity from wind. Developers are actively planning offshore wind farms along the U.S. Atlantic and Gulf coasts and several leases have been signed for offshore sites. These planned projects are in areas that are sometimes struck by hurricanes. Whether that risk will grow as a result of climate change is uncertain. Recent years have seen an increase in hurricane activity in the Atlantic basin (1) and, all else being equal, warmer sea surface temperatures can be expected to lead to increased storm intensity. We have developed a method to estimate the catastrophe risk to offshore wind power using simulated hurricanes (2). In Texas, the most vulnerable region we studied, 10% of offshore wind power could be offline simultaneously due to hurricane damage with a 100-year return period and 6% could be destroyed in any 10-year period. Much of the hurricane risk to offshore wind turbines can be mitigated by designing turbines for higher maximum wind speeds, ensuring that turbine nacelles can turn quickly to track the wind direction even when grid power is lost, and building in areas with lower risk. 1. Iris Grossmann and M. Granger Morgan, "Tropical Cyclones, Climate Change, and Scientific Uncertainty: What do we know, what does it mean, and what should be done?," Climatic Change, 108, pp 543-579, 2011. 2. Carnegie Mellon Electricity Industry Center Working Paper CEIC-13-07, http://wpweb2.tepper.cmu.edu/electricity/papers/ceic-13-07.asp This work was supported in part by the EPA STAR fellowship program, a grant from the Alfred P. Sloan Foundation and EPRI to the Carnegie Mellon Electricity Industry Center, and by the Doris Duke Charitable Foundation, the R.K. Mellon Foundation and the Heinz Endowments for support of the RenewElec program at Carnegie Mellon University. This research was also supported in part by the Climate and Energy Decision Making (CEDM) center created through a cooperative agreement between the National Science Foundation (SES-0949710) and Carnegie Mellon University.

  18. Basic principles of variable speed drives

    NASA Technical Reports Server (NTRS)

    Loewenthal, S. H.

    1973-01-01

    An understanding of the principles which govern variable speed drive operation is discussed for successful drive application. The fundamental factors of torque, speed ratio, and power as they relate to drive selection are discussed. The basic types of variable speed drives, their operating characteristics and their applications are also presented.

  19. Computational Aerodynamic Analysis of Offshore Upwind and Downwind Turbines

    DOE PAGES

    Zhao, Qiuying; Sheng, Chunhua; Afjeh, Abdollah

    2014-01-01

    Aerodynamic interactions of the model NREL 5 MW offshore horizontal axis wind turbines (HAWT) are investigated using a high-fidelity computational fluid dynamics (CFD) analysis. Four wind turbine configurations are considered; three-bladed upwind and downwind and two-bladed upwind and downwind configurations, which operate at two different rotor speeds of 12.1 and 16 RPM. In the present study, both steady and unsteady aerodynamic loads, such as the rotor torque, blade hub bending moment, and base the tower bending moment of the tower, are evaluated in detail to provide overall assessment of different wind turbine configurations. Aerodynamic interactions between the rotor and tower are analyzed,more » including the rotor wake development downstream. The computational analysis provides insight into aerodynamic performance of the upwind and downwind, two- and three-bladed horizontal axis wind turbines.« less

  20. A comparison between the dynamics of horizontal and vertical axis offshore floating wind turbines.

    PubMed

    Borg, M; Collu, M

    2015-02-28

    The need to further exploit offshore wind resources in deeper waters has led to a re-emerging interest in vertical axis wind turbines (VAWTs) for floating foundation applications. However, there has been little effort to systematically compare VAWTs to the more conventional horizontal axis wind turbine (HAWT). This article initiates this comparison based on prime principles, focusing on the turbine aerodynamic forces and their impact on the floating wind turbine static and dynamic responses. VAWTs generate substantially different aerodynamic forces on the support structure, in particular, a potentially lower inclining moment and a substantially higher torque than HAWTs. Considering the static stability requirements, the advantages of a lower inclining moment, a lower wind turbine mass and a lower centre of gravity are illustrated, all of which are exploitable to have a less costly support structure. Floating VAWTs experience increased motion in the frequency range surrounding the turbine [number of blades]×[rotational speed] frequency. For very large VAWTs with slower rotational speeds, this frequency range may significantly overlap with the range of wave excitation forces. Quantitative considerations are undertaken comparing the reference NREL 5 MW HAWT with the NOVA 5 MW VAWT. © 2015 The Author(s) Published by the Royal Society. All rights reserved.

  1. Speed but not amplitude of visual feedback exacerbates force variability in older adults.

    PubMed

    Kim, Changki; Yacoubi, Basma; Christou, Evangelos A

    2018-06-23

    Magnification of visual feedback (VF) impairs force control in older adults. In this study, we aimed to determine whether the age-associated increase in force variability with magnification of visual feedback is a consequence of increased amplitude or speed of visual feedback. Seventeen young and 18 older adults performed a constant isometric force task with the index finger at 5% of MVC. We manipulated the vertical (force gain) and horizontal (time gain) aspect of the visual feedback so participants performed the task with the following VF conditions: (1) high amplitude-fast speed; (2) low amplitude-slow speed; (3) high amplitude-slow speed. Changing the visual feedback from low amplitude-slow speed to high amplitude-fast speed increased force variability in older adults but decreased it in young adults (P < 0.01). Changing the visual feedback from low amplitude-slow speed to high amplitude-slow speed did not alter force variability in older adults (P > 0.2), but decreased it in young adults (P < 0.01). Changing the visual feedback from high amplitude-slow speed to high amplitude-fast speed increased force variability in older adults (P < 0.01) but did not alter force variability in young adults (P > 0.2). In summary, increased force variability in older adults with magnification of visual feedback was evident only when the speed of visual feedback increased. Thus, we conclude that in older adults deficits in the rate of processing visual information and not deficits in the processing of more visual information impair force control.

  2. Disturbance observer based pitch control of wind turbines for disturbance rejection

    NASA Astrophysics Data System (ADS)

    Yuan, Yuan; Chen, Xu; Tang, Jiong

    2016-04-01

    In this research, a disturbance observer based (DOB) control scheme is illustrated to reject the unknown low frequency disturbances to wind turbines. Specifically, we aim at maintaining the constant output power but achieving better generator speed regulation when the wind turbine is operated at time-varying and turbulent wind field. The disturbance observer combined with a filter is designed to asymptotically reject the persistent unknown time-varying disturbances. The proposed algorithm is tested in both linearized and nonlinear NREL offshore 5-MW baseline wind turbine. The application of this DOB pitch controller achieves improved power and speed regulation in Region 3 compared with a baseline gain scheduling PID collective controller both in linearized and nonlinear plant.

  3. First in situ evidence of wakes in the far field behind offshore wind farms.

    PubMed

    Platis, Andreas; Siedersleben, Simon K; Bange, Jens; Lampert, Astrid; Bärfuss, Konrad; Hankers, Rudolf; Cañadillas, Beatriz; Foreman, Richard; Schulz-Stellenfleth, Johannes; Djath, Bughsin; Neumann, Thomas; Emeis, Stefan

    2018-02-01

    More than 12 GW of offshore wind turbines are currently in operation in European waters. To optimise the use of the marine areas, wind farms are typically clustered in units of several hundred turbines. Understanding wakes of wind farms, which is the region of momentum and energy deficit downwind, is important for optimising the wind farm layouts and operation to minimize costs. While in most weather situations (unstable atmospheric stratification), the wakes of wind turbines are only a local effect within the wind farm, satellite imagery reveals wind-farm wakes to be several tens of kilometres in length under certain conditions (stable atmospheric stratification), which is also predicted by numerical models. The first direct in situ measurements of the existence and shape of large wind farm wakes by a specially equipped research aircraft in 2016 and 2017 confirm wake lengths of more than tens of kilometres under stable atmospheric conditions, with maximum wind speed deficits of 40%, and enhanced turbulence. These measurements were the first step in a large research project to describe and understand the physics of large offshore wakes using direct measurements, together with the assessment of satellite imagery and models.

  4. The Need for Speed in Rodent Locomotion Analyses

    PubMed Central

    Batka, Richard J.; Brown, Todd J.; Mcmillan, Kathryn P.; Meadows, Rena M.; Jones, Kathryn J.; Haulcomb, Melissa M.

    2016-01-01

    Locomotion analysis is now widely used across many animal species to understand the motor defects in disease, functional recovery following neural injury, and the effectiveness of various treatments. More recently, rodent locomotion analysis has become an increasingly popular method in a diverse range of research. Speed is an inseparable aspect of locomotion that is still not fully understood, and its effects are often not properly incorporated while analyzing data. In this hybrid manuscript, we accomplish three things: (1) review the interaction between speed and locomotion variables in rodent studies, (2) comprehensively analyze the relationship between speed and 162 locomotion variables in a group of 16 wild-type mice using the CatWalk gait analysis system, and (3) develop and test a statistical method in which locomotion variables are analyzed and reported in the context of speed. Notable results include the following: (1) over 90% of variables, reported by CatWalk, were dependent on speed with an average R2 value of 0.624, (2) most variables were related to speed in a nonlinear manner, (3) current methods of controlling for speed are insufficient, and (4) the linear mixed model is an appropriate and effective statistical method for locomotion analyses that is inclusive of speed-dependent relationships. Given the pervasive dependency of locomotion variables on speed, we maintain that valid conclusions from locomotion analyses cannot be made unless they are analyzed and reported within the context of speed. PMID:24890845

  5. Operation ranges and dynamic capabilities of variable-speed pumped-storage hydropower

    NASA Astrophysics Data System (ADS)

    Mercier, Thomas; Olivier, Mathieu; Dejaeger, Emmanuel

    2017-04-01

    The development of renewable and intermittent power generation creates incentives for the development of both energy storage solutions and more flexible power generation assets. Pumped-storage hydropower (PSH) is the most established and mature energy storage technology, but recent developments in power electronics have created a renewed interest by providing PSH units with a variable-speed feature, thereby increasing their flexibility. This paper reviews technical considerations related to variable-speed PSH in link with the provision of primary frequency control, also referred to as frequency containment reserves (FCRs). Based on the detailed characteristics of a scale model pump-turbine, the variable-speed operation ranges in pump and turbine modes are precisely assessed and the implications for the provision of FCRs are highlighted. Modelling and control for power system studies are discussed, both for fixed- and variable-speed machines and simulation results are provided to illustrate the high dynamic capabilities of variable-speed PSH.

  6. Dynamic modal estimation using instrumental variables

    NASA Technical Reports Server (NTRS)

    Salzwedel, H.

    1980-01-01

    A method to determine the modes of dynamical systems is described. The inputs and outputs of a system are Fourier transformed and averaged to reduce the error level. An instrumental variable method that estimates modal parameters from multiple correlations between responses of single input, multiple output systems is applied to estimate aircraft, spacecraft, and off-shore platform modal parameters.

  7. Optimisation and evaluation of pre-design models for offshore wind turbines with jacket support structures and their influence on integrated load simulations

    NASA Astrophysics Data System (ADS)

    Schafhirt, S.; Kaufer, D.; Cheng, P. W.

    2014-12-01

    In recent years many advanced load simulation tools, allowing an aero-servo-hydroelastic analyses of an entire offshore wind turbine, have been developed and verified. Nowadays, even an offshore wind turbine with a complex support structure such as a jacket can be analysed. However, the computational effort rises significantly with an increasing level of details. This counts especially for offshore wind turbines with lattice support structures, since those models do naturally have a higher number of nodes and elements than simpler monopile structures. During the design process multiple load simulations are demanded to obtain an optimal solution. In the view of pre-design tasks it is crucial to apply load simulations which keep the simulation quality and the computational effort in balance. The paper will introduce a reference wind turbine model consisting of the REpower5M wind turbine and a jacket support structure with a high level of detail. In total twelve variations of this reference model are derived and presented. Main focus is to simplify the models of the support structure and the foundation. The reference model and the simplified models are simulated with the coupled simulation tool Flex5-Poseidon and analysed regarding frequencies, fatigue loads, and ultimate loads. A model has been found which reaches an adequate increase of simulation speed while holding the results in an acceptable range compared to the reference results.

  8. Assessment of Wind Datasets for Estimating Offshore Wind Energy along the Central California Coast

    NASA Astrophysics Data System (ADS)

    Wang, Y. H.; Walter, R. K.; Ruttenberg, B.; White, C.

    2017-12-01

    Offshore renewable energy along the central California coastline has gained significant interest in recent years. We present a comprehensive analysis of near-surface wind datasets available in this region to facilitate future estimates of wind power generation potential. The analyses are based on local NDBC buoys, satellite-based measurements (QuickSCAT and CCMP V2.0), reanalysis products (NARR and MERRA), and a regional climate model (WRF). There are substantial differences in the diurnal signal during different months among the various products (i.e., satellite-based, reanalysis, and modeled) relative to the local buoys. Moreover, the datasets tended to underestimate wind speed under light wind conditions and overestimate under strong wind conditions. In addition to point-to-point comparisons against local buoys, the spatial variations of bias and error in both the reanalysis products and WRF model data in this region were compared against satellite-based measurements. NARR's bias and root-mean-square-error were generally small in the study domain and decreased with distance from coastlines. Although its smaller spatial resolution is likely to be insufficient to reveal local effects, the small bias and error in near-surface winds, as well as the availability of wind data at the proposed turbine hub heights, suggests that NARR is an ideal candidate for use in offshore wind energy production estimates along the central California coast. The framework utilized here could be applied in other site-specific regions where offshore renewable energy is being considered.

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

    NASA Astrophysics Data System (ADS)

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

    2014-06-01

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

  10. Experimental investigations on the aerodynamics and aeromechanics of wind turbines for floating offshore applications

    NASA Astrophysics Data System (ADS)

    Khosravi, Morteza

    There are many advantages in floating wind turbines in deep waters, however, there are also significant technological challenges associated with it too. The dynamic excitation of wind and waves can induce excessive motions along each of the 6 degrees of freedom (6-DOF) of the floating platforms. These motions will then be transferred to the turbine, and directly impact the wake characteristics of the floating wind turbines, and consequently the resultant wind loadings and performances of the wind turbines sited in offshore wind farms. In the present study, a comprehensive experimental study was performed to analyze the performance, loading, and the near wake characteristics of a rigid wind turbine model subjected to surge, heave, and pitch motions. The experimental study was performed in a large-scale atmospheric boundary layer wind tunnel with a scaled three-blade Horizontal Axial Wind Turbine model placed in a turbulent boundary layer airflow with similar mean and turbulence characteristics as those over a typical offshore wind farm. The base of the 1:300 scaled model wind turbine was mounted on translation and rotation stages. These stages can be controlled to generate surge, pitch and heave motions to simulate the dynamic motions experienced by floating offshore wind turbines. During the experiments, the velocity scaling method was chosen to maintain the similar velocity ratios (i.e., the ratios of the incoming airflow flow to that of turbine base motion) between the model and the prototype. During the experiments, a high resolution digital particle image velocimetry (PIV) system was used to achieve flow field measurements to quantify the characteristics of the turbulent vortex flow in the near wake of the wind turbine model. Besides conducting ''free run'' PIV measurements to determine the ensemble-averaged statistics of the flow quantities such as mean velocity, Reynolds stress, and turbulence kinetic energy (TKE) distributions in the wake flow, ''phase-locked'' PIV measurements were also performed to elucidate further details about evolution of the unsteady vortex structures in the wake flow in relation to the position of the rotating turbine blades. The effects of the surge, heave, and pitch motions of the wind turbine base on the wake flow characteristics were examined in great details based on the PIV measurements. The findings derived from the present study can be used to improve the understanding of the underlying physics for optimal mechanical design of floating offshore wind turbines, as well as the layout optimization of floating offshore wind farms. Although, the mean power measurement results show little difference between the oscillating turbine and the bottom fixed turbine, but the excessive fluctuations in the power output of the oscillating turbine is anticipated to greatly reduce the power quality of such floating turbines. The load measurements also show substantial amount of difference both in terms of mean and the fluctuating components. The results of the wake study reveal that the wake of a wind turbine subjected to base motions, is highly dependent on which direction the turbine is oscillating. In the case of the moving turbine, the wake accelerates as the turbine is moving with the flow, hence, reducing the power extraction by the turbine. A decrease in Reynolds shear stress and the turbulent kinetic energy production was noted as the turbine was oscillating with the flow. However, as the turbine was moving into the flow, these effects reverse, and causes a deceleration in the wake of the moving turbine, hence increases the power production by the turbine, and increase the Reynolds shear stress and the turbulent kinetic energy. Finally, The wake flow field (x/D < 2.5) measurements behind a two-bladed Darrieus type VAWT were also carried out by using a high-resolution PIV system, and the results obtained at two different horizontal (x-y) planes, at the equator height (H/2) and above the equator height (3H/4), for four different tip speed ratios (lambda = 2, 2.5, 3 and 3.5) of the VAWT were then evaluated and compared. The wake of the VAWT is found to be significantly different to that of the HAWT's. At lower tip-speed-ratio (i.e. TSR 2) the wake tends to be very asymmetric and skewed with relatively higher amount of momentum in the wake in comparison to higher tip-speed ratios (i.e. 3 or 3.5). As tip-speed ratio increases, there is a tendency in flow stagnation in the wake and eventually flow reversal would occur at higher tip-speed-ratios. The wake dynamics (i.e., the instabilities inherent in VAWT) behind the VAWTs would lead to a much faster wake recovery in comparison to the HAWTs.

  11. Step-by-step variability of swing phase trajectory area during steady state walking at a range of speeds

    PubMed Central

    Hurt, Christopher P.; Brown, David A.

    2018-01-01

    Background Step kinematic variability has been characterized during gait using spatial and temporal kinematic characteristics. However, people can adopt different trajectory paths both between individuals and even within individuals at different speeds. Single point measures such as minimum toe clearance (MTC) and step length (SL) do not necessarily account for the multiple paths that the foot may take during the swing phase to reach the same foot fall endpoint. The purpose of this study was to test a step-by-step foot trajectory area (SBS-FTA) variability measure that is able to characterize sagittal plane foot trajectories of varying areas, and compare this measure against MTC and SL variability at different speeds. We hypothesize that the SBS-FTA variability would demonstrate increased variability with speed. Second, we hypothesize that SBS-FTA would have a stronger curvilinear fit compared with the CV and SD of SL and MTC. Third, we hypothesize SBS-FTA would be more responsive to change in the foot trajectory at a given speed compared to SL and MTC. Fourth, SBS-FTA variability would not strongly co-vary with SL and MTC variability measures since it represents a different construct related to foot trajectory area variability. Methods We studied 15 nonimpaired individuals during walking at progressively faster speeds. We calculated SL, MTC, and SBS-FTA area. Results SBS-FTA variability increased with speed, had a stronger curvilinear fit compared with the CV and SD of SL and MTC, was more responsive at a given speed, and did not strongly co-vary with SL and MTC variability measures. Conclusion SBS foot trajectory area variability was sensitive to change with faster speeds, captured a relationship that the majority of the other measures did not demonstrate, and did not co-vary strongly with other measures that are also components of the trajectory. PMID:29370202

  12. Variable-Speed Simulation of a Dual-Clutch Gearbox Tiltrotor Driveline

    NASA Technical Reports Server (NTRS)

    DeSmidt, Hans; Wang, Kon-Well; Smith, Edward C.; Lewicki, David G.

    2012-01-01

    This investigation explores the variable-speed operation and shift response of a prototypical two-speed dual-clutch transmission tiltrotor driveline in forward flight. Here, a Comprehensive Variable-Speed Rotorcraft Propulsion System Modeling (CVSRPM) tool developed under a NASA funded NRA program is utilized to simulate the drive system dynamics. In this study, a sequential shifting control strategy is analyzed under a steady forward cruise condition. This investigation attempts to build upon previous variable-speed rotorcraft propulsion studies by 1) including a fully nonlinear transient gas-turbine engine model, 2) including clutch stick-slip friction effects, 3) including shaft flexibility, 4) incorporating a basic flight dynamics model to account for interactions with the flight control system. Through exploring the interactions between the various subsystems, this analysis provides important insights into the continuing development of variable-speed rotorcraft propulsion systems.

  13. Gait variability in community dwelling adults with Alzheimer disease.

    PubMed

    Webster, Kate E; Merory, John R; Wittwer, Joanne E

    2006-01-01

    Studies have shown that measures of gait variability are associated with falling in older adults. However, few studies have measured gait variability in people with Alzheimer disease, despite the high incidence of falls in Alzheimer disease. The purpose of this study was to compare gait variability of community-dwelling older adults with Alzheimer disease and control subjects at various walking speeds. Ten subjects with mild-moderate Alzheimer disease and ten matched control subjects underwent gait analysis using an electronic walkway. Participants were required to walk at self-selected slow, preferred, and fast speeds. Stride length and step width variability were determined using the coefficient of variation. Results showed that stride length variability was significantly greater in the Alzheimer disease group compared with the control group at all speeds. In both groups, increases in walking speed were significantly correlated with decreases in stride length variability. Step width variability was significantly reduced in the Alzheimer disease group compared with the control group at slow speed only. In conclusion, there is an increase in stride length variability in Alzheimer disease at all walking speeds that may contribute to the increased incidence of falls in Alzheimer disease.

  14. Speeding for fun? Exploring the speeding behavior of riders of heavy motorcycles using the theory of planned behavior and psychological flow theory.

    PubMed

    Chen, Ching-Fu; Chen, Cheng-Wen

    2011-05-01

    This paper focuses on a special segment of motorcyclists in Taiwan--riders of heavy motorcycles--and investigates their speeding behavior and its affecting factors. It extends the theory of planned behavior (TPB) to explore motorcyclist speeding behavior by including the variables of psychological flow theory. The levels of sensation-seeking and riding experience are also used as grouping variables to investigate group differences from the influences of their affecting factors on speeding behavior. The results reveal that the psychological flow variables have greater predictive power in explaining speeding behavior than the TPB variables, providing useful insights into the unique nature of this group of motorcyclists, who are more prone to engage in speeding. Group differences with regard to both sensation-seeking and rider experience in speeding behavior are highlighted, and the implications of the findings are discussed. Copyright © 2010 Elsevier Ltd. All rights reserved.

  15. Design of self-contained sensor for monitoring of deep-sea offshore platform

    NASA Astrophysics Data System (ADS)

    Song, Yang; Yu, Yan; Zhang, Chunwei; Dong, Weijie; Ou, Jinping

    2013-04-01

    Offshore platform, which is the base of the production and living in the sea, is the most important infrastructure for developing oil and gas resources. At present, there are almost 6500 offshore platforms servicing in the 53 countries' sea areas around the world, creating great wealth for the world. In general, offshore platforms may work for 20 years, however, offshore platforms are expensive, complex, bulky, and so many of them are on extended active duty. Because of offshore platforms servicing in the harsh marine environment for a long time, the marine environment have a great impact on the offshore platforms. Besides, with the impact and erosion of seawater, and material aging, the offshore platform is possible to be in unexpected situations when a badly sudden situation happens. Therefore, it is of great significance to monitor the marine environment and offshore platforms. The self-contained sensor for deep-sea offshore platform with its unique design, can not only effectively extend the working time of the sensor with the capability of converting vibration energy to electrical energy, but also simultaneously collect the data of acceleration, inclination, temperature and humidity of the deep sea, so that we can achieve the purpose of monitoring offshore platforms through analyzing the collected data. The self-contained sensor for monitoring of deep-sea offshore platform includes sensing unit, data collecting and storage unit, the energy supply unit. The sensing unit with multi-variables, consists of an accelerometer LIS344ALH, an inclinometer SCA103T and a temperature and humidity sensor SHT11; the data collecting and storage unit includes the MSP430 low-power MCU, large capacity memory, clock circuit and the communication interface, the communication interface includes USB interface, serial ports and wireless interface; in addition, the energy supply unit, converting vibration to electrical energy to power the overall system, includes the electromagnetic generator, voltage multiplier circuit and a super capacitor which can withstand virtually unlimited number of charge-discharge cycles. When the seawater impacts on offshore platforms to produce vibration, electromagnetic generator converts vibration to electrical energy, its output(~ 1 V 50 Hz AC) is stepped up and rectified by a voltage multiplier circuit, and the energy is stored in a super capacitor. It is controlled by the MSP430 that monitors the voltage level on the super capacitor. The super capacitor charges the Li-ion battery when the voltage on the super capacitor reaches a threshold, then the whole process of energy supply is completed. The self-contained sensor for deep-sea offshore platform has good application prospects and practical value with small size, low power, being easy to install, converting vibration energy to supply power and high detection accuracy.

  16. United States Transportation Command 2001 Annual Command Report: Transforming Global Mobility ... and Distribution

    DTIC Science & Technology

    2001-01-01

    Annual Command Report 13 High Speed Sealift Ship increased performance efficiencies in hull designs and innovative power plants. Promising and proven...long self-propelled, floating dock, the BLUE MARLIN was designed to haul offshore oil rigs and large, heavy cargo not unlike a ship . Whereas the COLE...the disabled ship had been returned to Mississippi for repairs. Concern about terrorism, already high , became a more concerted part of USTRANSCOM

  17. Aerosol cloud interactions in southeast Pacific stratocumulus: satellite observations, in situ data and regional modeling

    NASA Astrophysics Data System (ADS)

    George, Rhea

    The influence of anthropogenic aerosols on cloud radiative properties in the persistent southeast Pacific stratocumulus deck is investigated using MODIS satellite observations, in situ data from the VAMOS Ocean-Cloud-Atmosphere-Land Study Regional Experiment (VOCALS-REx), and WRF-Chem, a regional model with interactive chemistry and aerosols. An albedo proxy is derived based on the fractional coverage of low cloud (a macrophysical field) and the cloud albedo, with the latter broken down into contributions from microphysics (cloud droplet concentration, Nd and macrophysics (liquid water path). Albedo variability is dominated by low cloud fraction variability, except within 10-15° of the South American coast, where cloud albedo variability contributes significantly. Covariance between cloud fraction and cloud albedo also contributes significantly to the variance in albedo, which highlights how complex and inseparable the factors controlling albedo are. N d variability contributes only weakly, which emphasizes that attributing albedo variability to the indirect effects of aerosols against the backdrop of natural meteorological variability is extremely challenging. Specific cases of aerosol changes can have strong impacts on albedo. We identify a pathway for periodic anthropogenic aerosol transport to the unpolluted marine stratocumulus >1000 km offshore, which strongly enhances Nd and albedo in zonally-elongated 'hook'-shaped arc. Hook development occurs with Nd increasing to polluted levels over the remote ocean primarily due to entrainment of a large number of small aerosols from the free troposphere that contribute a relatively small amount of aerosol mass to the marine boundary layer. Strong, deep offshore flow needed to transport continental aerosols to the remote ocean is favored by a trough approaching the South American coast and a southeastward shift of the climatological subtropical high pressure system. DMS significantly influences the aerosol number and size distributions, but does not cause hooks. The Twomey effect contributes 50-80% of the total aerosol indirect effect (AIE) both near sources and offshore during hook events. Meteorological variability between simulations can swamp the signal of AIEs, particularly due to the binary model cloud fraction field and distinguishing AIE requires determination of appropriate spatial and temporal averaging scales over which AIE is significant above this noise.

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

    Khin, J.A.; Johnston, D.

    This paper reports that following licensing efforts in 1989-90, Myanmar has been gearing up with activity both onshore and offshore. The industry gave a strong response to the first round of exploration licensing. The license awards in the first round carried fairly aggressive work commitments in terms of both dollars and timing. Work commitments on each of the first nine blocks ranged from $12 million to $70 million for each block. Most companies committed to spudding their first wells within the first 12-14 months. The drilling results are starting to come in. Although no significant oil discovery has been mademore » yet, the country expects to speed up its exploration activities in the next few years. Following the first round of licensing onshore, Myanmar Oil and Gas Enterprise (MOGE), the national oil company, is negotiating terms for offshore blocks as well as additional onshore blocks for improved oil recovery (IOR) and rehabilitation/redevelopment rights for existing fields.« less

  19. Examining Impulse-Variability Theory and the Speed-Accuracy Trade-Off in Children's Overarm Throwing Performance.

    PubMed

    Molina, Sergio L; Stodden, David F

    2018-04-01

    This study examined variability in throwing speed and spatial error to test the prediction of an inverted-U function (i.e., impulse-variability [IV] theory) and the speed-accuracy trade-off. Forty-five 9- to 11-year-old children were instructed to throw at a specified percentage of maximum speed (45%, 65%, 85%, and 100%) and hit the wall target. Results indicated no statistically significant differences in variable error across the target conditions (p = .72), failing to support the inverted-U hypothesis. Spatial accuracy results indicated no statistically significant differences with mean radial error (p = .18), centroid radial error (p = .13), and bivariate variable error (p = .08) also failing to support the speed-accuracy trade-off in overarm throwing. As neither throwing performance variability nor accuracy changed across percentages of maximum speed in this sample of children as well as in a previous adult sample, current policy and practices of practitioners may need to be reevaluated.

  20. Comprehensive Modeling and Analysis of Rotorcraft Variable Speed Propulsion System With Coupled Engine/Transmission/Rotor Dynamics

    NASA Technical Reports Server (NTRS)

    DeSmidt, Hans A.; Smith, Edward C.; Bill, Robert C.; Wang, Kon-Well

    2013-01-01

    This project develops comprehensive modeling and simulation tools for analysis of variable rotor speed helicopter propulsion system dynamics. The Comprehensive Variable-Speed Rotorcraft Propulsion Modeling (CVSRPM) tool developed in this research is used to investigate coupled rotor/engine/fuel control/gearbox/shaft/clutch/flight control system dynamic interactions for several variable rotor speed mission scenarios. In this investigation, a prototypical two-speed Dual-Clutch Transmission (DCT) is proposed and designed to achieve 50 percent rotor speed variation. The comprehensive modeling tool developed in this study is utilized to analyze the two-speed shift response of both a conventional single rotor helicopter and a tiltrotor drive system. In the tiltrotor system, both a Parallel Shift Control (PSC) strategy and a Sequential Shift Control (SSC) strategy for constant and variable forward speed mission profiles are analyzed. Under the PSC strategy, selecting clutch shift-rate results in a design tradeoff between transient engine surge margins and clutch frictional power dissipation. In the case of SSC, clutch power dissipation is drastically reduced in exchange for the necessity to disengage one engine at a time which requires a multi-DCT drive system topology. In addition to comprehensive simulations, several sections are dedicated to detailed analysis of driveline subsystem components under variable speed operation. In particular an aeroelastic simulation of a stiff in-plane rotor using nonlinear quasi-steady blade element theory was conducted to investigate variable speed rotor dynamics. It was found that 2/rev and 4/rev flap and lag vibrations were significant during resonance crossings with 4/rev lagwise loads being directly transferred into drive-system torque disturbances. To capture the clutch engagement dynamics, a nonlinear stick-slip clutch torque model is developed. Also, a transient gas-turbine engine model based on first principles mean-line compressor and turbine approximations is developed. Finally an analysis of high frequency gear dynamics including the effect of tooth mesh stiffness variation under variable speed operation is conducted including experimental validation. Through exploring the interactions between the various subsystems, this investigation provides important insights into the continuing development of variable-speed rotorcraft propulsion systems.

  1. Analysis of L-band radiometric data over the Mediterranean Sea from the SMOS Validation Rehearsal campaign

    NASA Astrophysics Data System (ADS)

    Gabarro, C.; Talone, M.; Font, J.

    2009-04-01

    L-band radiometric data obtained with a real aperture airborne radiometer during SMOS validation Rehearsal campaign (April-May 2008) over the NW Mediterranean Sea have been analysed. EMIRAD, a fully polarimetric radiometer developed by the Technical University of Denmark operating in the 1400 - 1427 MHz band, was mounted on board a Skyvan aircraft from the Helsinki University of Technology. Two antennas were used: one facing nadir with 37.6° full aperture at half-power; and one placed towards the rear of the aircraft at 40° zenith angle with 30.6° full aperture at half-power. Two transit flights over the sea from Marseille to Valencia (19 April 2008) and from Valencia to Marseille (3 May 2008) have been studied. Two meteorological and oceanographic buoys were moored 40 Km offshore in front of Tarragona and were overflown during these transits. Additionally, information on sea surface temperature (SST) and sea surface salinity (SSS) was obtained from operational model outputs (Mediterranean Forecasting System - Mediterranean Operational Oceanography Network) and wind speed from QuikSCAT. Measured brightness temperatures (Tb) have been compared with modelled Tb, using a semi-empirical emissivity model: Klein and Swift model is used to define the dielectric constant and Hollinger model for the rough sea emissivity contribution. Comparisons show that in general measured Tb variability fits with modelled variability, although a bias is observed in the aft V channel.

  2. Chapter 18: Variable Frequency Drive Evaluation Protocol. The Uniform Methods Project: Methods for Determining Energy Efficiency Savings for Specific Measures

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

    Romberger, Jeff

    An adjustable-speed drive (ASD) includes all devices that vary the speed of a rotating load, including those that vary the motor speed and linkage devices that allow constant motor speed while varying the load speed. The Variable Frequency Drive Evaluation Protocol presented here addresses evaluation issues for variable-frequency drives (VFDs) installed on commercial and industrial motor-driven centrifugal fans and pumps for which torque varies with speed. Constant torque load applications, such as those for positive displacement pumps, are not covered by this protocol.

  3. 40 CFR 1037.640 - Variable vehicle speed limiters.

    Code of Federal Regulations, 2012 CFR

    2012-07-01

    ... 40 Protection of Environment 34 2012-07-01 2012-07-01 false Variable vehicle speed limiters. 1037... POLLUTION CONTROLS CONTROL OF EMISSIONS FROM NEW HEAVY-DUTY MOTOR VEHICLES Special Compliance Provisions § 1037.640 Variable vehicle speed limiters. This section specifies provisions that apply for vehicle...

  4. 40 CFR 1037.640 - Variable vehicle speed limiters.

    Code of Federal Regulations, 2013 CFR

    2013-07-01

    ... 40 Protection of Environment 34 2013-07-01 2013-07-01 false Variable vehicle speed limiters. 1037... POLLUTION CONTROLS CONTROL OF EMISSIONS FROM NEW HEAVY-DUTY MOTOR VEHICLES Special Compliance Provisions § 1037.640 Variable vehicle speed limiters. This section specifies provisions that apply for vehicle...

  5. Differences in the sensitivity to Cu and ligand production of coastal vs offshore strains of Emiliania huxleyi.

    PubMed

    Echeveste, Pedro; Croot, Peter; von Dassow, Peter

    2018-06-01

    Copper is an essential trace metal for different physiological processes in phytoplankton, being either a limiting or toxic element depending on its bioavailability, which may induce local physiological adaptations. Atmospheric Cu deposition to the oceans can negatively impact phytoplankton growth, with the most Cu-sensitive phytoplankton exhibiting differences based on coastal vs oceanic origin. The goal of this work was to analyze sensitivity to Cu toxicity of the cosmopolitan marine calcifying phytoplankton, Emiliania huxleyi, exploring what factors determine intraspecific variability in sensitivity. We compared 17 strains isolated from coastal and open ocean waters of the Eastern South Pacific (ESP), the Mediterranean Sea, and the Tasman Sea. Offshore strains were as sensitive to Cu than coastal strains. Sensitivity to Cu was explained well by predicted depositional inputs of atmospheric Cu in the ESP both for coastal and offshore strains, but not when considered globally. The variability in Cu-sensitivity was also due to the production of organic Cu-ligands (CL), being the most productive strains the most tolerant to Cu at constitutive levels. When exposed to 100nM Cu, E. huxleyi produced significantly higher amounts of CL, especially coastal strains, but CL production did not correlate to observed EC50s. Copyright © 2017 Elsevier B.V. All rights reserved.

  6. Mapping Wind Farm Loads and Power Production - A Case Study on Horns Rev 1

    NASA Astrophysics Data System (ADS)

    Galinos, Christos; Dimitrov, Nikolay; Larsen, Torben J.; Natarajan, Anand; Hansen, Kurt S.

    2016-09-01

    This paper describes the development of a wind turbine (WT) component lifetime fatigue load variation map within an offshore wind farm. A case study on the offshore wind farm Horns Rev I is conducted with this purpose, by quantifying wake effects using the Dynamic Wake Meandering (DWM) method, which has previously been validated based on CFD, Lidar and full scale load measurements. Fully coupled aeroelastic load simulations using turbulent wind conditions are conducted for all wind directions and mean wind speeds between cut-in and cut-out using site specific turbulence level measurements. Based on the mean wind speed and direction distribution, the representative 20-year lifetime fatigue loads are calculated. It is found that the heaviest loaded WT is not the same when looking at blade root, tower top or tower base components. The blade loads are mainly dominated by the wake situations above rated wind speed and the highest loaded blades are in the easternmost row as the dominating wind direction is from West. Regarding the tower components, the highest loaded WTs are also located towards the eastern central location. The turbines with highest power production are, not surprisingly, the ones facing a free sector towards west and south. The power production results of few turbines are compared with SCADA data. The results of this paper are expected to have significance for operation and maintenance planning, where the schedules for inspection and service activities can be adjusted to the requirements arising from the varying fatigue levels. Furthermore, the results can be used in the context of remaining fatigue lifetime assessment and planning of decommissioning.

  7. Analysis of walking variability through simultaneous evaluation of the head, lumbar, and lower-extremity acceleration in healthy youth

    PubMed Central

    Toda, Haruki; Nagano, Akinori; Luo, Zhiwei

    2016-01-01

    [Purpose] The purpose of this study was to clarify whether walking speed affects acceleration variability of the head, lumbar, and lower extremity by simultaneously evaluating of acceleration. [Subjects and Methods] Twenty young individuals recruited from among the staff at Kurashiki Heisei Hospital participated in this study. Eight accelerometers were used to measure the head, lumbar and lower extremity accelerations. The participants were instructed to walk at five walking speeds prescribed by a metronome. Acceleration variability was assessed by a cross-correlation analysis normalized using z-transform in order to evaluate stride-to-stride variability. [Results] Vertical acceleration variability was the smallest in all body parts, and walking speed effect had laterality. Antero-posterior acceleration variability was significantly associated with walking speed at sites other than the head. Medio-lateral acceleration variability of the bilateral hip alone was smaller than the antero-posterior variability. [Conclusion] The findings of this study suggest that the effect of walking speed changes on the stride-to-stride acceleration variability was individual for each body parts, and differs among directions. PMID:27390419

  8. Evaluating Mesoscale Simulations of the Coastal Flow Using Lidar Measurements

    NASA Astrophysics Data System (ADS)

    Floors, R.; Hahmann, A. N.; Peña, A.

    2018-03-01

    The atmospheric flow in the coastal zone is investigated using lidar and mast measurements and model simulations. Novel dual-Doppler scanning lidars were used to investigate the flow over a 7 km transect across the coast, and vertically profiling lidars were used to study the vertical wind profile at offshore and onshore positions. The Weather, Research and Forecasting model is set up in 12 different configurations using 2 planetary boundary layer schemes, 3 horizontal grid spacings and varied sources of land use, and initial and lower boundary conditions. All model simulations describe the observed mean wind profile well at different onshore and offshore locations from the surface up to 500 m. The simulated mean horizontal wind speed gradient across the shoreline is close to that observed, although all simulations show wind speeds that are slightly higher than those observed. Inland at the lowest observed height, the model has the largest deviations compared to the observations. Taylor diagrams show that using ERA-Interim data as boundary conditions improves the model skill scores. Simulations with 0.5 and 1 km horizontal grid spacing show poorer model performance compared to those with a 2 km spacing, partially because smaller resolved wave lengths degrade standard error metrics. Modeled and observed velocity spectra were compared and showed that simulations with the finest horizontal grid spacing resolved more high-frequency atmospheric motion.

  9. Multiscale climate emulator of multimodal wave spectra: MUSCLE-spectra

    NASA Astrophysics Data System (ADS)

    Rueda, Ana; Hegermiller, Christie A.; Antolinez, Jose A. A.; Camus, Paula; Vitousek, Sean; Ruggiero, Peter; Barnard, Patrick L.; Erikson, Li H.; Tomás, Antonio; Mendez, Fernando J.

    2017-02-01

    Characterization of multimodal directional wave spectra is important for many offshore and coastal applications, such as marine forecasting, coastal hazard assessment, and design of offshore wave energy farms and coastal structures. However, the multivariate and multiscale nature of wave climate variability makes this complex problem tractable using computationally expensive numerical models. So far, the skill of statistical-downscaling model-based parametric (unimodal) wave conditions is limited in large ocean basins such as the Pacific. The recent availability of long-term directional spectral data from buoys and wave hindcast models allows for development of stochastic models that include multimodal sea-state parameters. This work introduces a statistical downscaling framework based on weather types to predict multimodal wave spectra (e.g., significant wave height, mean wave period, and mean wave direction from different storm systems, including sea and swells) from large-scale atmospheric pressure fields. For each weather type, variables of interest are modeled using the categorical distribution for the sea-state type, the Generalized Extreme Value (GEV) distribution for wave height and wave period, a multivariate Gaussian copula for the interdependence between variables, and a Markov chain model for the chronology of daily weather types. We apply the model to the southern California coast, where local seas and swells from both the Northern and Southern Hemispheres contribute to the multimodal wave spectrum. This work allows attribution of particular extreme multimodal wave events to specific atmospheric conditions, expanding knowledge of time-dependent, climate-driven offshore and coastal sea-state conditions that have a significant influence on local nearshore processes, coastal morphology, and flood hazards.

  10. Multiscale Climate Emulator of Multimodal Wave Spectra: MUSCLE-spectra

    NASA Astrophysics Data System (ADS)

    Rueda, A.; Hegermiller, C.; Alvarez Antolinez, J. A.; Camus, P.; Vitousek, S.; Ruggiero, P.; Barnard, P.; Erikson, L. H.; Tomas, A.; Mendez, F. J.

    2016-12-01

    Characterization of multimodal directional wave spectra is important for many offshore and coastal applications, such as marine forecasting, coastal hazard assessment, and design of offshore wave energy farms and coastal structures. However, the multivariate and multiscale nature of wave climate variability makes this problem complex yet tractable using computationally-expensive numerical models. So far, the skill of statistical-downscaling models based parametric (unimodal) wave conditions is limited in large ocean basins such as the Pacific. The recent availability of long-term directional spectral data from buoys and wave hindcast models allows for development of stochastic models that include multimodal sea-state parameters. This work introduces a statistical-downscaling framework based on weather types to predict multimodal wave spectra (e.g., significant wave height, mean wave period, and mean wave direction from different storm systems, including sea and swells) from large-scale atmospheric pressure fields. For each weather type, variables of interest are modeled using the categorical distribution for the sea-state type, the Generalized Extreme Value (GEV) distribution for wave height and wave period, a multivariate Gaussian copula for the interdependence between variables, and a Markov chain model for the chronology of daily weather types. We apply the model to the Southern California coast, where local seas and swells from both the Northern and Southern Hemispheres contribute to the multimodal wave spectrum. This work allows attribution of particular extreme multimodal wave events to specific atmospheric conditions, expanding knowledge of time-dependent, climate-driven offshore and coastal sea-state conditions that have a significant influence on local nearshore processes, coastal morphology, and flood hazards.

  11. Predicting Average Vehicle Speed in Two Lane Highways Considering Weather Condition and Traffic Characteristics

    NASA Astrophysics Data System (ADS)

    Mirbaha, Babak; Saffarzadeh, Mahmoud; AmirHossein Beheshty, Seyed; Aniran, MirMoosa; Yazdani, Mirbahador; Shirini, Bahram

    2017-10-01

    Analysis of vehicle speed with different weather condition and traffic characteristics is very effective in traffic planning. Since the weather condition and traffic characteristics vary every day, the prediction of average speed can be useful in traffic management plans. In this study, traffic and weather data for a two-lane highway located in Northwest of Iran were selected for analysis. After merging traffic and weather data, the linear regression model was calibrated for speed prediction using STATA12.1 Statistical and Data Analysis software. Variables like vehicle flow, percentage of heavy vehicles, vehicle flow in opposing lane, percentage of heavy vehicles in opposing lane, rainfall (mm), snowfall and maximum daily wind speed more than 13m/s were found to be significant variables in the model. Results showed that variables of vehicle flow and heavy vehicle percent acquired the positive coefficient that shows, by increasing these variables the average vehicle speed in every weather condition will also increase. Vehicle flow in opposing lane, percentage of heavy vehicle in opposing lane, rainfall amount (mm), snowfall and maximum daily wind speed more than 13m/s acquired the negative coefficient that shows by increasing these variables, the average vehicle speed will decrease.

  12. An improved global wind resource estimate for integrated assessment models

    DOE PAGES

    Eurek, Kelly; Sullivan, Patrick; Gleason, Michael; ...

    2017-11-25

    This study summarizes initial steps to improving the robustness and accuracy of global renewable resource and techno-economic assessments for use in integrated assessment models. We outline a method to construct country-level wind resource supply curves, delineated by resource quality and other parameters. Using mesoscale reanalysis data, we generate estimates for wind quality, both terrestrial and offshore, across the globe. Because not all land or water area is suitable for development, appropriate database layers provide exclusions to reduce the total resource to its technical potential. We expand upon estimates from related studies by: using a globally consistent data source of uniquelymore » detailed wind speed characterizations; assuming a non-constant coefficient of performance for adjusting power curves for altitude; categorizing the distance from resource sites to the electric power grid; and characterizing offshore exclusions on the basis of sea ice concentrations. The product, then, is technical potential by country, classified by resource quality as determined by net capacity factor. Additional classifications dimensions are available, including distance to transmission networks for terrestrial wind and distance to shore and water depth for offshore. We estimate the total global wind generation potential of 560 PWh for terrestrial wind with 90% of resource classified as low-to-mid quality, and 315 PWh for offshore wind with 67% classified as mid-to-high quality. These estimates are based on 3.5 MW composite wind turbines with 90 m hub heights, 0.95 availability, 90% array efficiency, and 5 MW/km 2 deployment density in non-excluded areas. We compare the underlying technical assumption and results with other global assessments.« less

  13. An improved global wind resource estimate for integrated assessment models

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

    Eurek, Kelly; Sullivan, Patrick; Gleason, Michael

    This study summarizes initial steps to improving the robustness and accuracy of global renewable resource and techno-economic assessments for use in integrated assessment models. We outline a method to construct country-level wind resource supply curves, delineated by resource quality and other parameters. Using mesoscale reanalysis data, we generate estimates for wind quality, both terrestrial and offshore, across the globe. Because not all land or water area is suitable for development, appropriate database layers provide exclusions to reduce the total resource to its technical potential. We expand upon estimates from related studies by: using a globally consistent data source of uniquelymore » detailed wind speed characterizations; assuming a non-constant coefficient of performance for adjusting power curves for altitude; categorizing the distance from resource sites to the electric power grid; and characterizing offshore exclusions on the basis of sea ice concentrations. The product, then, is technical potential by country, classified by resource quality as determined by net capacity factor. Additional classifications dimensions are available, including distance to transmission networks for terrestrial wind and distance to shore and water depth for offshore. We estimate the total global wind generation potential of 560 PWh for terrestrial wind with 90% of resource classified as low-to-mid quality, and 315 PWh for offshore wind with 67% classified as mid-to-high quality. These estimates are based on 3.5 MW composite wind turbines with 90 m hub heights, 0.95 availability, 90% array efficiency, and 5 MW/km 2 deployment density in non-excluded areas. We compare the underlying technical assumption and results with other global assessments.« less

  14. Wind Resource Assessment in Complex Terrain with a High-Resolution Numerical Weather Prediction Model

    NASA Astrophysics Data System (ADS)

    Gruber, Karin; Serafin, Stefano; Grubišić, Vanda; Dorninger, Manfred; Zauner, Rudolf; Fink, Martin

    2014-05-01

    A crucial step in planning new wind farms is the estimation of the amount of wind energy that can be harvested in possible target sites. Wind resource assessment traditionally entails deployment of masts equipped for wind speed measurements at several heights for a reasonably long period of time. Simplified linear models of atmospheric flow are then used for a spatial extrapolation of point measurements to a wide area. While linear models have been successfully applied in the wind resource assessment in plains and offshore, their reliability in complex terrain is generally poor. This represents a major limitation to wind resource assessment in Austria, where high-altitude locations are being considered for new plant sites, given the higher frequency of sustained winds at such sites. The limitations of linear models stem from two key assumptions in their formulation, the neutral stratification and attached boundary-layer flow, both of which often break down in complex terrain. Consequently, an accurate modeling of near-surface flow over mountains requires the adoption of a NWP model with high horizontal and vertical resolution. This study explores the wind potential of a site in Styria in the North-Eastern Alps. The WRF model is used for simulations with a maximum horizontal resolution of 800 m. Three nested computational domains are defined, with the innermost one encompassing a stretch of the relatively broad Enns Valley, flanked by the main crest of the Alps in the south and the Nördliche Kalkalpen of similar height in the north. In addition to the simulation results, we use data from fourteen 10-m wind measurement sites (of which 7 are located within valleys and 5 near mountain tops) and from 2 masts with anemometers at several heights (at hillside locations) in an area of 1600 km2 around the target site. The potential for wind energy production is assessed using the mean wind speed and turbulence intensity at hub height. The capacity factor is also evaluated, considering the frequency of wind speed between cut-in and cut-out speed and of winds with a low vertical velocity component only. Wind turbines do not turn on at wind speeds below cut-in speed. Wind turbines are taken off from the generator in the case of wind speeds higher than cut-out speed and inclination angles of the wind vector greater than 8o. All of these parameters were computed at each model grid point in the innermost domain in order to map their spatial variability. The results show that in complex terrain the annual mean wind speed at hub height is not sufficient to predict the capacity factor of a turbine; vertical wind speed and the frequency of horizontal wind speed out of the range of cut-in and cut-out speed contribute substantially to a reduction of the energy harvest and locally high turbulence may considerably raise the building costs.

  15. High-fidelity Modeling of Local Effects of Damage for Derated Offshore Wind Turbines

    NASA Astrophysics Data System (ADS)

    Richards, Phillip W.; Griffith, D. Todd; Hodges, Dewey H.

    2014-06-01

    Offshore wind power production is an attractive clean energy option, but the difficulty of access can lead to expensive and rare opportunities for maintenance. As part of the Structural Health and Prognostics Management (SHPM) project at Sandia National Laboratories, smart loads management (controls) are investigated for their potential to increase the fatigue life of offshore wind turbine rotor blades. Derating refers to altering the rotor angular speed and blade pitch to limit power production and loads on the rotor blades. High- fidelity analysis techniques like 3D finite element modeling (FEM) should be used alongside beam models of wind turbine blades to characterize these control strategies in terms of their effect to mitigate fatigue damage and extend life of turbine blades. This study will consider a commonly encountered damage type for wind turbine blades, the trailing edge disbond, and show how FEM can be used to quantify the effect of operations and control strategies designed to extend the fatigue life of damaged blades. The Virtual Crack Closure Technique (VCCT) will be used to post-process the displacement and stress results to provide estimates of damage severity/criticality and provide a means to estimate the fatigue life under a given operations and control strategy.

  16. Oxygen consumption and gait variables of Arabian endurance horses measured during a field exercise test.

    PubMed

    Cottin, F; Metayer, N; Goachet, A G; Julliand, V; Slawinski, J; Billat, V; Barrey, E

    2010-11-01

    Arabian horses have morphological, muscular and metabolic features designed for endurance races. Their gas exchange and gait variables were therefore measured during a field exercise test. This study presents original respiratory and locomotor data recorded in endurance horses under field conditions. Respiratory gas exchange ratio (RER) of Arabian horses at the speed required to win endurance races (18 km/h for 120-160 km) are <1 and running economy (RE) is also low in order to maintain exercise intensity using aerobic metabolism for long intervals. The purpose of this study was to measure oxygen consumption and gait variables in Arabian endurance horses running in the field in order to estimate RER and RE. Five Arabian horses trained for endurance racing were test ridden at increasing speeds on the field. Their speed was recorded and controlled by the rider using a GPS logger. Each horse was equipped with a portable respiratory gas analyser, which measured breath-by-breath respiratory variables and heart rate. The gait variables were recorded using tri-axial accelerometer data loggers and software for gait analysis. Descriptive statistics and linear regressions were used to analyse the speed related changes in each variable with P < 0.05 taken as significant. At a canter speed corresponding to endurance race winning speed (18 km/h), horses presented a VO(2) = 42 ± 9 ml/min/kg bwt, RER = 0.96 ± 0.10 and RE (= VO(2) /speed) = 134 ± 27 l/km/kg bwt. Linear relationships were observed between speed and VO(2,) HR and gait variables. Significant correlations were observed between VO(2) and gait variables. The RER of 0.96 at winning endurance speed indicates that Arabian horses mainly use aerobic metabolism based on lipid oxidation and that RER may also be related to a good coordination between running speed, respiratory and gait parameters. © 2010 EVJ Ltd.

  17. Intraindividual Variability in Executive Functions but Not Speed of Processing or Conflict Resolution Predicts Performance Differences in Gait Speed in Older Adults

    PubMed Central

    Mahoney, Jeannette; Verghese, Joe

    2014-01-01

    Background. The relationship between executive functions (EF) and gait speed is well established. However, with the exception of dual tasking, the key components of EF that predict differences in gait performance have not been determined. Therefore, the current study was designed to determine whether processing speed, conflict resolution, and intraindividual variability in EF predicted variance in gait performance in single- and dual-task conditions. Methods. Participants were 234 nondemented older adults (mean age 76.48 years; 55% women) enrolled in a community-based cohort study. Gait speed was assessed using an instrumented walkway during single- and dual-task conditions. The flanker task was used to assess EF. Results. Results from the linear mixed effects model showed that (a) dual-task interference caused a significant dual-task cost in gait speed (estimate = 35.99; 95% CI = 33.19–38.80) and (b) of the cognitive predictors, only intraindividual variability was associated with gait speed (estimate = −.606; 95% CI = −1.11 to −.10). In unadjusted analyses, the three EF measures were related to gait speed in single- and dual-task conditions. However, in fully adjusted linear regression analysis, only intraindividual variability predicted performance differences in gait speed during dual tasking (B = −.901; 95% CI = −1.557 to −.245). Conclusion. Among the three EF measures assessed, intraindividual variability but not speed of processing or conflict resolution predicted performance differences in gait speed. PMID:24285744

  18. On the use of QuikSCAT data for assessing wind energy resources

    NASA Astrophysics Data System (ADS)

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

    2011-12-01

    As the land space suitable for wind turbine installations becomes saturated, the focus is on offshore sites. Advantages of such a transition include increased power production, smaller environmental and social impact and extended availability of prospective areas. Until recently installation of wind turbines was limited in coastal areas. Nowadays, the search for suitable sites is extended beyond shallow waters, in locations far offshore where available measurements of various environmental parameters are limited. Space-borne observations are ideal due to their global spatial coverage, providing information where in-situ measurements are impracticable. The most widely used satellite observations for wind vector information are obtained by scatterometers; active radars that relate radiation backscattered from the sea surface to wind. SeaWinds, the scatterometer on board the QuikSCAT platform, launched by NASA in 1999 provided information with global coverage until 2009. The potential use of this 10-year long dataset is evaluated in the present study for the characterization of wind resources in the North and Baltic Seas, where most of Europe's offshore wind farms are located. Long-term QuikSCAT data have been extensively and positively validated in open ocean and in enclosed seas. In the present study QuikSCAT rain-free observations are compared with in-situ observations from three locations in the North Sea. As the remotely sensed observations refer to neutral atmospheric stratification, the impact of stability is assessed. Mean wind characteristics along with the Weibull A and k parameters are estimated in order to obtain information regarding the variation of wind. The numerical weather prediction (NWP) model WRF (Weather Research & Forecasting) is used for comparisons against QuikSCAT. Surface winds derived from long-term WRF simulations are compared against QuikSCAT data to evaluate differences in the spatial extend. Preliminary results indicate very good agreement between satellite and in-situ observations. The mean annual wind speed at 10 meters above the sea surface is found significantly higher in the North Sea when compared to the Baltic Sea. Strong lee effects on the 10m wind speeds are observed, in particular the reduced wind speed on the east side of the British Isles as opposed to the west coast of Denmark. An intense flow channelling in the English Channel and the Baltic Sea is highlighted, along with various other effects. Comparisons between WRF and QuikSCAT show biases in the order of 0.4 m/s or lower in extended spatial scales. Higher negative biases, indicating higher QuikSCAT wind speed than the WRF-derived, are observed mainly in coastal areas where representativeness errors due to surface roughness changes are significant.

  19. Cyclone Xaver seen by SARAL/AltiKa

    NASA Astrophysics Data System (ADS)

    Scharroo, Remko; Fenoglio, Luciana; Annunziato, Alessandro

    2014-05-01

    During the first week of December 2013, Cyclone Xaver pounded the coasts and the North Sea. On 6 December, all along the Wadden Sea, the barrier islands along the north of the Netherlands and the northwest of Germany experienced record storm surges. We show a comparison of the storm surge measured by the radar altimeter AltiKa on-board the SARAL satellite and various types of in-situ data and models. Two tide gauges along the German North Sea coast, one in the southern harbour of the island of Helgoland and one on an offshore lighthouse Alte Weser, confirmed that the storm drove sea level to about three meters above the normal tide level. Loading effects during the storm are also detected by the GPS measurements at several tide gauge stations. The altimeter in the mean time shows that the storm surge was noticeable as far as 400 km from the coast. The altimeter measured wind speeds of 20 m/s nearly monotonically throughout the North Sea. An offshore anemometer near the island of Borkum corroborated this value. A buoy near the FINO1 offshore platform measured wave heights of 8 m, matching quite well the measurements from the altimeter, ranging from 6 m near the German coast to 12 m further out into the North Sea. Furthermore we compare the altimeter-derived and in-situ sea level, wave height and wind speed products with outputs from the Operation Circulation and Forecast model of the Bundesamt für Seeschifffahrt und Hydrographie (BSH) and with a global storm surge forecast and inundation model of the Joint Research Centre (JRC) of the European Commission. The Operational circulation model of BSH (BSHcmod) and its component, the surge model (BSHsmod), perform daily predictions for the next 72 hours based on the meteorological model of the Deutsche Wetterdienst (DWD). The JRC Storm Surge Calculation System is a new development that has been established at the JRC in the framework of the Global Disasters Alerts and Coordination System (GDACS). The system uses meteorological forecasts produced by the European Centre for Medium-Range Weather Forecasts (ECMWF) to estimate (with a 2-day lead time) potential storm surges due to cyclone or general storm events. Departure between model and altimeter-derived values, in particularly wind, are investigated and discussed. The qualitative agreement is satisfactory; the maximum storm surge peak is correctly estimated by BSH but underestimated by JRC due to insufficient wind forcing. The wind speed of SARAL/AltiKa agrees well with the ECMWF model wind speed but is lower than the DWD model estimate. The authors acknowledge the kind support from the BSH, the Bundesumweltministerium (BMU), Projectträger Jülich (PTJ), and the Wasser- und Schifffahrtsverwaltung des Bundes (WSV).

  20. Interannual variability of Danube waters propagation in summer period of 1992-2015 and its influence on the Black Sea ecosystem

    NASA Astrophysics Data System (ADS)

    Kubryakov, A. A.; Stanichny, S. V.; Zatsepin, A. G.

    2018-03-01

    The propagation of the Danube River plume has strong interannual variability that impacts the local balance of nutrients and the thermohaline structure in the western Black Sea. In the present study, we use a particle-tracking model based on satellite altimetry measurements and wind reanalysis data, as well as satellite measurements (SeaWiFS, MODIS), to investigate the interannual variability in the Danube plume pathways during the summer from 1993 to 2015. The wind conditions largely define the variability in the Danube water propagation. Relatively low-frequency variability (on periods of a week to months) in the wind stress curl modulates the intensity of the geostrophic Rim Current and related mesoscale eddy dynamics. High-frequency offshore wind-drift currents transport the plume across isobaths and provide an important transport link between shelf and offshore circulation. Inherent plume dynamics play an additional role in the near-mouth transport of the plume and its connection with offshore circulation. During the years with prevailing northeast winds ( 30% of studied cases), which are usually accompanied by increased wind curl over the Black Sea and higher Danube discharge, an alongshore southward current at the NorthWestern Shelf (NWS) is formed near the western Black Sea coast. Advected southward, the Danube waters are entrained in the Rim Current jet, which transports them along the west coast of the basin. The strong Rim Current, fewer eddies and downwelling winds substantially decrease the cross-shelf exchange of nutrients. During the years with prevailing southeastern winds ( 40%), the Rim Current is less intense. Mesoscale eddies effectively trap the Danube waters, transporting them to the deep western part of the basin. The low- and high-frequency southeastern wind-drift currents contribute significantly to cross-isobath plume transport and its connection with offshore circulation. During several years ( 15%), the Danube waters moved eastward to the west coast of Crimea. They were transported on the north periphery of the mesoscale anticyclones due to prevailing eastward wind-drift currents. During the years with hot summers, a monsoon effect induced the formation of a strong anticyclonic wind cell over the NorthWestern Shelf (NWS), and the plume moved northward ( 15%). Anticyclonic wind circulation leads to the Ekman convergence of brackish surface waters in the centre of the shelf and the formation of a baroclinic geostrophic anticyclone north of the NWS. This anticyclone traps the Danube waters and forces them to remain on the shelf for a long period of time. The impact of the propagation of the plume on the variability in chlorophyll a chlorophyll a in the NWS and the western Black Sea is analysed in this study based on satellite data.

  1. Demonstration of variable speed permanent magnet generator at small, low-head hydro site

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

    Brown Kinloch, David

    Small hydro developers face a limited set of bad choices when choosing a generator for a small low-head hydro site. Direct drive synchronous generators are expensive and technically complex to install. Simpler induction generators are higher speed, requiring a speed increaser, which results in inefficiencies and maintenance problems. In addition, both induction and synchronous generators turn at a fixed speed, causing the turbine to run off its peak efficiency curve whenever the available head is different than the designed optimum head.The solution to these problems is the variable speed Permanent Magnet Generators (PMG). At the Weisenberger Mill in Midway, KY,more » a variable speed Permanent Magnet Generator has been installed and demonstrated. This new PMG system replaced an existing induction generator that had a HTD belt drive speed increaser system. Data was taken from the old generator before it was removed and compared to data collected after the PMG system was installed. The new variable speed PMG system is calculated to produce over 96% more energy than the old induction generator system during an average year. This significant increase was primarily due to the PMG generator operating at the correct speed at the maximum head, and the ability for the PMG generator to reduce its speed to lower optimum speeds as the stream flow increased and the net head decreased.This demonstration showed the importance of being able to adjust the speed of fixed blade turbines. All fixed blade turbines with varying net heads could achieve higher efficiencies if the speed can be matched to the optimum speed as the head changes. In addition, this demonstration showed that there are many potential efficiencies that could be realized with variable speed technology at hydro sites where mismatched turbine and generator speeds result in lower power output, even at maximum head. Funding for this project came from the US Dept. of Energy, through Award Number DE-EE0005429.« less

  2. Selective Use of Optical Variables to Control Forward Speed

    NASA Technical Reports Server (NTRS)

    Johnson, Walter W.; Awe, Cynthia A.; Hart, Sandra G. (Technical Monitor)

    1994-01-01

    Previous work on the perception and control of simulated vehicle speed has examined the contributions of optical flow rate (angular visual speed) and texture, or edge rate (frequency of passing terrain objects or markings) on the perception and control of forward speed. However, these studies have not examined the ability to selectively use edge rate or flow rate. The two studies reported here show that subjects found it very difficult to arbitrarily direct attention to one or the other of these variables; but that the ability to selectively use these variables is linked to the visual contextual information about the relative validity (linkage with speed) of the two variables. The selectivity also resulted in different velocity adaptation levels for events in which flow rate and edge rate specified forward speed. Finally, the role of visual context in directing attention was further buttressed by the finding that the incorrect perception of changes in ground texture density tended to be coupled with incorrect perceptions of changes in forward speed.

  3. Experimental investigation of a variable speed constant frequency electric generating system from a utility perspective

    NASA Technical Reports Server (NTRS)

    Herrera, J. I.; Reddoch, T. W.; Lawler, J. S.

    1985-01-01

    As efforts are accelerated to improve the overall capability and performance of wind electric systems, increased attention to variable speed configurations has developed. A number of potentially viable configurations have emerged. Various attributes of variable speed systems need to be carefully tested to evaluate their performance from the utility points of view. With this purpose, the NASA experimental variable speed constant frequency (VSCF) system has been tested. In order to determine the usefulness of these systems in utility applications, tests are required to resolve issues fundamental to electric utility systems. Legitimate questions exist regarding how variable speed generators will influence the performance of electric utility systems; therefore, tests from a utility perspective, have been performed on the VSCF system and an induction generator at an operating power level of 30 kW on a system rated at 200 kVA and 0.8 power factor.

  4. Assessment of Aerodynamic Challenges of a Variable-Speed Power Turbine for Large Civil Tilt-Rotor Application

    NASA Technical Reports Server (NTRS)

    Welch, Gerand E.

    2010-01-01

    The main rotors of the NASA Large Civil Tilt-Rotor notional vehicle operate over a wide speed-range (100% at take-off to 54% at cruise). The variable-speed power turbine, when coupled to a fixed-gear-ratio transmission, offers one approach to accomplish this speed variation. The key aero-challenges of the variable-speed power turbine are related to high work factors at cruise, where the power turbine operates at 54% of take-off speed, wide incidence variations into the vane, blade, and exit-guide-vane rows associated with the power-turbine speed change, and the impact of low aft-stage Reynolds number (transitional flow) at 28 kft cruise. Meanline and 2-D Reynolds-Averaged Navier- Stokes analyses are used to characterize the variable-speed power-turbine aerodynamic challenges and to outline a conceptual design approach that accounts for multi-point operation. Identified technical challenges associated with the aerodynamics of high work factor, incidence-tolerant blading, and low Reynolds numbers pose research needs outlined in the paper

  5. Teleseismic P wave tomography of South Island, New Zealand upper mantle: Evidence of subduction of Pacific lithosphere since 45 Ma

    NASA Astrophysics Data System (ADS)

    Zietlow, Daniel W.; Molnar, Peter H.; Sheehan, Anne F.

    2016-06-01

    A P wave speed tomogram produced from teleseismic travel time measurements made on and offshore the South Island of New Zealand shows a nearly vertical zone with wave speeds that are 4.5% higher than the background average reaching to depths of approximately 450 km under the northwestern region of the island. This structure is consistent with oblique west-southwest subduction of Pacific lithosphere since about 45 Ma, when subduction beneath the region began. The high-speed zone reaches about 200-300 km below the depths of the deepest intermediate-depth earthquakes (subcrustal to ~200 km) and therefore suggests that ~200-300 km of slab below them is required to produce sufficient weight to induce the intermediate-depth seismicity. In the southwestern South Island, high P wave speeds indicate subduction of the Australian plate at the Puysegur Trench to approximately 200 km depth. A band with speeds ~2-3.5% lower than the background average is found along the east coast of the South Island to depths of ~150-200 km and underlies Miocene or younger volcanism; these low speeds are consistent with thinned lithosphere. A core of high speeds under the Southern Alps associated with a convergent margin and mountain building imaged in previous investigations is not well resolved in this study. This could suggest that such high speeds are limited in both width and depth and not resolvable by our data.

  6. Review Report on Design Study and Economic Assessment of Multi-Unit Offshore Wind Energy Conversion Systems Applications,

    DTIC Science & Technology

    1977-03-21

    meter turbine . Available from NTIS; $6.50. 113 pages. 7. SAND-76-0130 Wind Tunnel Performance Data for the Darrieus Wind Tur- bine with NACA-0012...2-meter-diameter Darrieus wind turbine have been tested in a low speed wind tunnel. The airfoil section for all configurations was NACA 0012. The... Darrieus Vertical-Axis Wind Turbine Program at Sandia Laboratories, Kadlec, E.G., published by Sandia Laboratories 1976. Contract No. AT(29-1)-789. From

  7. Planning and management of the Nido Reef Complex Oil Field development, Philippines

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

    Harry, R.Y.

    1981-01-01

    As Operator for the Northeast Palawan consortium, Philippines-Cities Service, Inc., commenced the Philippines first commercial offshore oil production from the Nido Reef Complex Oil Field on February 1, 1979, some 11 months after a decision by management to start development. The relative speed at which design, fabrication, and construction were accomplished is attributed to the use of the concepts of project planning, task force approach, and project management. This paper presents the above concepts as applied to the Nido Complex.

  8. Intraindividual variability in executive functions but not speed of processing or conflict resolution predicts performance differences in gait speed in older adults.

    PubMed

    Holtzer, Roee; Mahoney, Jeannette; Verghese, Joe

    2014-08-01

    The relationship between executive functions (EF) and gait speed is well established. However, with the exception of dual tasking, the key components of EF that predict differences in gait performance have not been determined. Therefore, the current study was designed to determine whether processing speed, conflict resolution, and intraindividual variability in EF predicted variance in gait performance in single- and dual-task conditions. Participants were 234 nondemented older adults (mean age 76.48 years; 55% women) enrolled in a community-based cohort study. Gait speed was assessed using an instrumented walkway during single- and dual-task conditions. The flanker task was used to assess EF. Results from the linear mixed effects model showed that (a) dual-task interference caused a significant dual-task cost in gait speed (estimate = 35.99; 95% CI = 33.19-38.80) and (b) of the cognitive predictors, only intraindividual variability was associated with gait speed (estimate = -.606; 95% CI = -1.11 to -.10). In unadjusted analyses, the three EF measures were related to gait speed in single- and dual-task conditions. However, in fully adjusted linear regression analysis, only intraindividual variability predicted performance differences in gait speed during dual tasking (B = -.901; 95% CI = -1.557 to -.245). Among the three EF measures assessed, intraindividual variability but not speed of processing or conflict resolution predicted performance differences in gait speed. © The Author 2013. Published by Oxford University Press on behalf of The Gerontological Society of America. All rights reserved. For permissions, please e-mail: journals.permissions@oup.com.

  9. Efficient Low-Lift Cooling with Radiant Distribution, Thermal Storage and Variable-Speed Chiller Controls Part I: Component and Subsystem Models

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

    Armstrong, Peter; Jiang, Wei; Winiarski, David W.

    2009-03-31

    this paper develops component and subsystem models used to evaluat4e the performance of a low-lift cooling system with an air-colled chiller optimized for variable-speed and low-pressure-ratio operation, a hydronic radient distribution system, variable-speed transport miotor controls, and peak-shifting controls.

  10. Wavelet Transform Based Higher Order Statistical Analysis of Wind and Wave Time Histories

    NASA Astrophysics Data System (ADS)

    Habib Huseni, Gulamhusenwala; Balaji, Ramakrishnan

    2017-10-01

    Wind, blowing on the surface of the ocean, imparts the energy to generate the waves. Understanding the wind-wave interactions is essential for an oceanographer. This study involves higher order spectral analyses of wind speeds and significant wave height time histories, extracted from European Centre for Medium-Range Weather Forecast database at an offshore location off Mumbai coast, through continuous wavelet transform. The time histories were divided by the seasons; pre-monsoon, monsoon, post-monsoon and winter and the analysis were carried out to the individual data sets, to assess the effect of various seasons on the wind-wave interactions. The analysis revealed that the frequency coupling of wind speeds and wave heights of various seasons. The details of data, analysing technique and results are presented in this paper.

  11. Variable Speed Limit (VSL) - Best Management Practice [Summary

    DOT National Transportation Integrated Search

    2012-01-01

    In variable speed limit (VSL) zones, the speed : limit changes in response to traffic congestion, : adverse weather, or road conditions. VSL zones are : often highly automated and have been employed : successfully in several U.S. and European : locat...

  12. Level of recall, retrieval speed, and variability on the Cued-Recall Retrieval Speed Task (CRRST) in individuals with amnestic mild cognitive impairment.

    PubMed

    Ramratan, Wendy S; Rabin, Laura A; Wang, Cuiling; Zimmerman, Molly E; Katz, Mindy J; Lipton, Richard B; Buschke, Herman

    2012-03-01

    Individuals with amnestic mild cognitive impairment (aMCI) show deficits on traditional episodic memory tasks and reductions in speed of performance on reaction time tasks. We present results on a novel task, the Cued-Recall Retrieval Speed Task (CRRST), designed to simultaneously measure level and speed of retrieval. A total of 390 older adults (mean age, 80.2 years), learned 16 words based on corresponding categorical cues. In the retrieval phase, we measured accuracy (% correct) and retrieval speed/reaction time (RT; time from cue presentation to voice onset of a correct response) across 6 trials. Compared to healthy elderly adults (HEA, n = 303), those with aMCI (n = 87) exhibited poorer performance in retrieval speed (difference = -0.13; p < .0001) and accuracy on the first trial (difference = -0.19; p < .0001), and their rate of improvement in retrieval speed was slower over subsequent trials. Those with aMCI also had greater within-person variability in processing speed (variance ratio = 1.22; p = .0098) and greater between-person variability in accuracy (variance ratio = 2.08; p = .0001) relative to HEA. Results are discussed in relation to the possibility that computer-based measures of cued-learning and processing speed variability may facilitate early detection of dementia in at-risk older adults.

  13. Match-to-match variation in physical activity and technical skill measures in professional Australian Football.

    PubMed

    Kempton, Thomas; Sullivan, Courtney; Bilsborough, Johann C; Cordy, Justin; Coutts, Aaron J

    2015-01-01

    To determine the match-to-match variability in physical activity and technical performance measures in Australian Football, and examine the influence of playing position, time of season, and different seasons on these measures of variability. Longitudinal observational study. Global positioning system, accelerometer and technical performance measures (total kicks, handballs, possessions and Champion Data rank) were collected from 33 players competing in the Australian Football League over 31 matches during 2011-2012 (N=511 observations). The global positioning system data were categorised into total distance, mean speed (mmin(-1)), high-speed running (>14.4 kmh(-1)), very high-speed running (>19.9 kmh(-1)), and sprint (>23.0 kmh(-1)) distance while player load was collected from the accelerometer. The data were log transformed to provide coefficient of variation and the between subject standard deviation (expressed as percentages). Match-to-match variability was increased for higher speed activities (high-speed running, very high-speed running, sprint distance, coefficient of variation %: 13.3-28.6%) compared to global measures (speed, total distance, player load, coefficient of variation %: 5.3-9.2%). The between-match variability was relativity stable for all measures between and within AFL seasons, with only few differences between positions. Higher speed activities (high-speed running, very high-speed running, sprint distance), but excluding mean speed, total distance and player load, were all higher in the final third phase of the season compared to the start of the season. While global measures of physical performance are relatively stable, higher-speed activities and technical measures exhibit a large degree of between-match variability in Australian Football. However, these measures remain relatively stable between positions, and within and between Australian Football League seasons. Copyright © 2013 Sports Medicine Australia. Published by Elsevier Ltd. All rights reserved.

  14. The selective use of functional optical variables in the control of forward speed

    NASA Technical Reports Server (NTRS)

    Johnson, Walter W.; Awe, Cynthia A.

    1994-01-01

    Previous work on the perception and control of simulated vehicle speed has examined the contributions of optical flow rate (angular visual speed) and texture, or edge rate (frequency of passing terrain objects or markings) on the perception and control of forward speed. However, these studies have not examined the ability to selectively use edge rate or flow rate. The two studies presented here show that this ability is far greater for pilots than non-pilots, as would be expected since pilots must control vehicular speed over a variety of altitudes where flow rates change independently of forward speed. These studies also show that this ability to selectively use these variables is linked to the visual contextual information about the relative validity (linkage with speed) of the two variables. Subjective judgment data also indicated that awareness of altitude and ground texture density did not mediate ground speed awareness.

  15. Spatio-temporal patterns in phytoplankton assemblages in inshore-offshore gradients using flow cytometry: A case study in the eastern English Channel

    NASA Astrophysics Data System (ADS)

    Bonato, Simon; Breton, Elsa; Didry, Morgane; Lizon, Fabrice; Cornille, Vincent; Lécuyer, Eric; Christaki, Urania; Artigas, Luis Felipe

    2016-04-01

    A pulse-shape recording flow cytometer (CytoSense©) was applied to the monitoring of changes in phytoplankton distribution along an inshore-offshore transect across the eastern English Channel (EEC), on 13 occasions during the main productive period of the year. Amongst the eight phytoplankton groups discriminated, picophytoplankton (picoeukaryotes and Synechococcus spp.) and Phaeocystis globosa nanoflagellates were the main contributors to total phytoplankton abundance, while Diatoms-like, Coccolithophores, and Cryptophytes represented each one less than 5%. High spatial resolution revealed important changes on relatively short distances. Moreover, a general decrease of Diatoms-like, P. globosa haploid cells, Coccolithophores, and picoeukaryote abundance was evidenced from inshore to offshore waters, associated with an increase of Synechococcus spp. abundance. Seasonal variability accounted for 71% of phytoplankton abundance changes. Compared to previous studies in the area the CytoSense allowed highlighting new players during the winter-spring-summer phytoplankton succession: (i) high abundance of Synechococcus spp. and picoeukaryotes I in winter and of Synechococcus spp. also in the summer, (ii) a transient abundance peak of picoeukaryotes II, and (iii) high abundance of Coccolithophores and Cryptophytes during the wax of P. globosa bloom and in the summer. The relationships between environmental variables and phytoplankton assemblages indicated that nutrients and the daily light intensity were the most important parameters in structuring the winter-spring-summer transitions.

  16. Relationship between container ship underwater noise levels and ship design, operational and oceanographic conditions

    PubMed Central

    McKenna, Megan F.; Wiggins, Sean M.; Hildebrand, John A.

    2013-01-01

    Low-frequency ocean ambient noise is dominated by noise from commercial ships, yet understanding how individual ships contribute deserves further investigation. This study develops and evaluates statistical models of container ship noise in relation to design characteristics, operational conditions, and oceanographic settings. Five-hundred ship passages and nineteen covariates were used to build generalized additive models. Opportunistic acoustic measurements of ships transiting offshore California were collected using seafloor acoustic recorders. A 5–10 dB range in broadband source level was found for ships depending on the transit conditions. For a ship recorded multiple times traveling at different speeds, cumulative noise was lowest at 8 knots, 65% reduction in operational speed. Models with highest predictive power, in order of selection, included ship speed, size, and time of year. Uncertainty in source depth and propagation affected model fit. These results provide insight on the conditions that produce higher levels of underwater noise from container ships.

  17. Trends of satellite derived chlorophyll-a (1997-2011) in the Bohai and Yellow Seas, China: Effects of bathymetry on seasonal and inter-annual patterns

    NASA Astrophysics Data System (ADS)

    Liu, Dongyan; Wang, Yueqi

    2013-09-01

    The spatial and temporal variability of sea surface chlorophyll-a (Chl-a) concentrations in the Bohai and Yellow Seas were analyzed, using satellite-derived Chl-a products from SeaWiFS and MODIS sensors over the period of September 1997-September 2011. A set of monthly and cloud-free Chl-a data was produced by the Data Interpolating Empirical Orthogonal Function (DINEOF) method. The results indicate that there are different Chl-a seasonal patterns existing in the Yangtze River mouth, coastal and offshore waters, respectively. In the Yangtze River mouth, a long-lasting Chl-a peak (May-September) is seen in summer. In coastal waters, two significant Chl-a maxima occur in winter-spring and late summer, respectively. In offshore waters, only one significant spring (March-April) Chl-a maximum is evident with a time lag of 1-3 months to coastal waters and the signal of autumn maximum is very weak. In coastal waters, wind-tide-thermohaline circulations and East Asia summer rainy monsoon may important physical factors to impact the seasonal pattern of Chl-a, but increased human activity (e.g., eutrophication, dam) could significantly enhance this process. In offshore waters, the impact on the circulation of the YSWC in winter and YSCW in summer in the central Yellow Sea could be important physical factor in explaining the variability of Chl-a in seasonal patterns. The decadal trends of Chl-a and sea surface temperature are decreasing in coastal waters, with a significantly positive correlation. In offshore waters, the decadal trends of Chl-a is increasing but a slight decreasing sea surface temperature trend is seen, and they indicate a negative correlation. The highest Chl-a values (3.0-5.0 mg m-3) and the lowest variability (STD < 0.3 mg m-3) are observed in coastal waters, in the adjacent sea area of the Yangtze River and Yellow River mouths where the water depth is less than 20 m. Compared with coastal waters and the sea adjacent to the large river mouths, the central Bohai Sea and the offshore waters of the Yellow Sea with the water depth of 20-40 m have lower Chl-a concentrations (1.5-3.5 mg m-3) but higher variability (STD = 0.4-0.6 mg m-3). In contrast to (1) and (2), the lowest Chl-a values (0.5-2.0 mg m-3, with most of values below 1 mg m-3) and the highest variability (STD > 0.8 mg m-3) occurred in the center Yellow Sea where the water depth with a range of 40-120 m. Linear statistical analysis further verifies the relationship between Chl-a and water depth (Fig. 5). Chl-a concentrations and water depths display a significant negative correlation (R = -0.87, P < 0.0001) (Fig. 5a), and there is a significant positive correlation (R = 0.69, P < 0.0001) between STD and water depths (Fig. 5b). These results indicated a significant spatial correlation between water depth and Chl-a concentrations.

  18. Measure Guideline. Replacing Single-Speed Pool Pumps with Variable Speed Pumps for Energy Savings

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

    Hunt, A.; Easley, S.

    2012-05-01

    This measure guideline evaluates potential energy savings by replacing traditional single-speed pool pumps with variable speed pool pumps, and provides a basic cost comparison between continued uses of traditional pumps verses new pumps. A simple step-by-step process for inspecting the pool area and installing a new pool pump follows.

  19. Measure Guideline: Replacing Single-Speed Pool Pumps with Variable Speed Pumps for Energy Savings

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

    Hunt, A.; Easley, S.

    2012-05-01

    The report evaluates potential energy savings by replacing traditional single-speed pool pumps with variable speed pool pumps, and provide a basic cost comparison between continued uses of traditional pumps verses new pumps. A simple step-by-step process for inspecting the pool area and installing a new pool pump follows.

  20. Differential thermal response within inshore vs. offshore congeneric scleractinian coral species in Palau.

    NASA Astrophysics Data System (ADS)

    Hoadley, K. D.; Lewis, A.; Wham, D.; Pettay, D. T.; Kemp, D.; Warner, M.; Lajeunesse, T.

    2016-02-01

    The rock island reef habitats of Palau are an ideal location to study climate change effects to reefs, as corals there are exposed to average temperature and pCO2 conditions well above levels experienced at offshore reef locations. We examined the response of 6 coral species, Acropora muricata, Goniastrea sp, Porities rus, Cyphastrea sp, Porites cylindrical and Pachyseris sp, from both rock island and offshore habitats to high temperature (32 Celsius) for 15 days. With the exception of P. rus and P. cylindrica which harbored Symbiodinium C15 at both locations, other rock island corals harbored the thermally tolerant species Symbiodinium trenchii, whereas offshore colonies harbored clade C symbionts. A total of 15 separate host and symbiont physiological variables were utilized to assess thermal acclimation/stress response within each host/symbiont combination. Differences in photophysiology, algal cell volume and biochemical composition were observed for Symbiodinium trenchii within different host species, reflecting the importance of the host organism in mitigating the symbiont response. Similarly, the host thermal response was also dependent on symbiont type, with greater reductions in symbiont density occurring within the offshore colonies. Overall, prior exposure to warmer temperatures, elevated nutrient and pCO2 conditions, along with association with more robust symbionts allowed rock island corals to exhibit greater thermal tolerance toward high temperature. Importantly, the results herein for Symbiodinium trenchii physiological plasticity and thermal mitigation provides useful insight into the potential of scleractinian corals to acclimatize under future climate change scenarios.

  1. Shifts in coral reef biogeochemistry and resulting acidification linked to offshore productivity

    NASA Astrophysics Data System (ADS)

    Yeakel, Kiley L.; Andersson, Andreas J.; Bates, Nicholas R.; Noyes, Timothy J.; Collins, Andrew; Garley, Rebecca

    2015-11-01

    Oceanic uptake of anthropogenic carbon dioxide (CO2) has acidified open-ocean surface waters by 0.1 pH units since preindustrial times. Despite unequivocal evidence of ocean acidification (OA) via open-ocean measurements for the past several decades, it has yet to be documented in near-shore and coral reef environments. A lack of long-term measurements from these environments restricts our understanding of the natural variability and controls of seawater CO2-carbonate chemistry and biogeochemistry, which is essential to make accurate predictions on the effects of future OA on coral reefs. Here, in a 5-y study of the Bermuda coral reef, we show evidence that variations in reef biogeochemical processes drive interannual changes in seawater pH and Ωaragonite that are partly controlled by offshore processes. Rapid acidification events driven by shifts toward increasing net calcification and net heterotrophy were observed during the summers of 2010 and 2011, with the frequency and extent of such events corresponding to increased offshore productivity. These events also coincided with a negative winter North Atlantic Oscillation (NAO) index, which historically has been associated with extensive offshore mixing and greater primary productivity at the Bermuda Atlantic Time-series Study (BATS) site. Our results reveal that coral reefs undergo natural interannual events of rapid acidification due to shifts in reef biogeochemical processes that may be linked to offshore productivity and ultimately controlled by larger-scale climatic and oceanographic processes.

  2. Shifts in coral reef biogeochemistry and resulting acidification linked to offshore productivity.

    PubMed

    Yeakel, Kiley L; Andersson, Andreas J; Bates, Nicholas R; Noyes, Timothy J; Collins, Andrew; Garley, Rebecca

    2015-11-24

    Oceanic uptake of anthropogenic carbon dioxide (CO2) has acidified open-ocean surface waters by 0.1 pH units since preindustrial times. Despite unequivocal evidence of ocean acidification (OA) via open-ocean measurements for the past several decades, it has yet to be documented in near-shore and coral reef environments. A lack of long-term measurements from these environments restricts our understanding of the natural variability and controls of seawater CO2-carbonate chemistry and biogeochemistry, which is essential to make accurate predictions on the effects of future OA on coral reefs. Here, in a 5-y study of the Bermuda coral reef, we show evidence that variations in reef biogeochemical processes drive interannual changes in seawater pH and Ωaragonite that are partly controlled by offshore processes. Rapid acidification events driven by shifts toward increasing net calcification and net heterotrophy were observed during the summers of 2010 and 2011, with the frequency and extent of such events corresponding to increased offshore productivity. These events also coincided with a negative winter North Atlantic Oscillation (NAO) index, which historically has been associated with extensive offshore mixing and greater primary productivity at the Bermuda Atlantic Time-series Study (BATS) site. Our results reveal that coral reefs undergo natural interannual events of rapid acidification due to shifts in reef biogeochemical processes that may be linked to offshore productivity and ultimately controlled by larger-scale climatic and oceanographic processes.

  3. Shifts in coral reef biogeochemistry and resulting acidification linked to offshore productivity

    PubMed Central

    Yeakel, Kiley L.; Andersson, Andreas J.; Bates, Nicholas R.; Noyes, Timothy J.; Collins, Andrew; Garley, Rebecca

    2015-01-01

    Oceanic uptake of anthropogenic carbon dioxide (CO2) has acidified open-ocean surface waters by 0.1 pH units since preindustrial times. Despite unequivocal evidence of ocean acidification (OA) via open-ocean measurements for the past several decades, it has yet to be documented in near-shore and coral reef environments. A lack of long-term measurements from these environments restricts our understanding of the natural variability and controls of seawater CO2-carbonate chemistry and biogeochemistry, which is essential to make accurate predictions on the effects of future OA on coral reefs. Here, in a 5-y study of the Bermuda coral reef, we show evidence that variations in reef biogeochemical processes drive interannual changes in seawater pH and Ωaragonite that are partly controlled by offshore processes. Rapid acidification events driven by shifts toward increasing net calcification and net heterotrophy were observed during the summers of 2010 and 2011, with the frequency and extent of such events corresponding to increased offshore productivity. These events also coincided with a negative winter North Atlantic Oscillation (NAO) index, which historically has been associated with extensive offshore mixing and greater primary productivity at the Bermuda Atlantic Time-series Study (BATS) site. Our results reveal that coral reefs undergo natural interannual events of rapid acidification due to shifts in reef biogeochemical processes that may be linked to offshore productivity and ultimately controlled by larger-scale climatic and oceanographic processes. PMID:26553977

  4. Evaluation of variable advisory speed limits in work zones.

    DOT National Transportation Integrated Search

    2013-08-01

    Variable advisory speed limit (VASL) systems could be effective at both urban and rural work zones, at both uncongested and congested sites. At uncongested urban work zones, the average speeds with VASL were lower than without VASL. But the standard ...

  5. A Coastal Bay Summer Breeze Study, Part 1: Results of the Quiberon 2006 Experimental Campaign

    NASA Astrophysics Data System (ADS)

    Mestayer, Patrice G.; Calmet, Isabelle; Herlédant, Olivier; Barré, Sophie; Piquet, Thibaud; Rosant, Jean-Michel

    2018-04-01

    The Quiberon 2006 experiment was launched to document the onset and development of land and sea breezes over a semi-circular coastal bay propitious to inshore sailing competitions. The measurements were taken during the 2 weeks of 16-28 June 2006. Micrometeorological variables were recorded at three shore sites around the bay using turbulence sensors on 10-30-m high masts, on four instrumented catamarans at selected sites within the bay, and at a fourth shore site with a Sodar. Synoptic data and local measurements are analyzed here from the point of view of both micrometeorologists and competition skippers, testing in particular the empirical rules of breeze veering and backing according to the wind direction with respect to the coastline orientation at the mesoscale (the quadrant theory). Our analysis focuses on the patterns of lower-altitude wind direction and speed around the bay and over the water basin, and the temporal variations during the periods of the breeze onset, establishment and thermal reinforcement. In offshore synoptic-flow conditions (quadrants 1 and 2), the clockwise rotation of the surface flow had a very large amplitude, reaching up to 360°. The breeze strength was negatively correlated to that of the synoptic wind speed. In conditions of onshore synoptic flow from the west (quadrant 3) at an angle to the mainland coast but perpendicular to the Quiberon peninsula, the rotation of the flow was backwards in the early morning and clockwise during the day with a moderate amplitude (40°-50°) around the synoptic wind direction. As the surface wind speed was much larger than the synoptic wind speed, such a case we have designated as a "synoptic breeze". The breeze onset was shown to fail several times under the influence of weak non-thermal events, e.g., the passage of an occluded front or clouds or an excess of convection. Finally, several local-scale influences of the complex coastal shape appeared in our measurements, e.g., wind fanning in the lee of the isthmus and airflow skirting around the peninsula forehand.

  6. Comparing offshore wind farm wake observed from satellite SAR and wake model results

    NASA Astrophysics Data System (ADS)

    Bay Hasager, Charlotte

    2014-05-01

    Offshore winds can be observed from satellite synthetic aperture radar (SAR). In the FP7 EERA DTOC project, the European Energy Research Alliance project on Design Tools for Offshore Wind Farm Clusters, there is focus on mid- to far-field wind farm wakes. The more wind farms are constructed nearby other wind farms, the more is the potential loss in annual energy production in all neighboring wind farms due to wind farm cluster effects. It is of course dependent upon the prevailing wind directions and wind speed levels, the distance between the wind farms, the wind turbine sizes and spacing. Some knowledge is available within wind farm arrays and in the near-field from various investigations. There are 58 offshore wind farms in the Northern European seas grid connected and in operation. Several of those are spaced near each other. There are several twin wind farms in operation including Nysted-1 and Rødsand-2 in the Baltic Sea, and Horns Rev 1 and Horns Rev 2, Egmond aan Zee and Prinses Amalia, and Thompton 1 and Thompton 2 all in the North Sea. There are ambitious plans of constructing numerous wind farms - great clusters of offshore wind farms. Current investigation of offshore wind farms includes mapping from high-resolution satellite SAR of several of the offshore wind farms in operation in the North Sea. Around 20 images with wind farm wake cases have been retrieved and processed. The data are from the Canadian RADARSAT-1/-2 satellites. These observe in microwave C-band and have been used for ocean surface wind retrieval during several years. The satellite wind maps are valid at 10 m above sea level. The wakes are identified in the raw images as darker areas downwind of the wind farms. In the SAR-based wind maps the wake deficit is found as areas of lower winds downwind of the wind farms compared to parallel undisturbed flow in the flow direction. The wind direction is clearly visible from lee effects and wind streaks in the images. The wind farm wake cases are modeled by various types of wake models. In the EERA DTOC project the model suite consists of engineering models (Ainslie, DWM, GLC, PARK, WASP/NOJ), simplified CFD models (FUGA, FarmFlow), full CFD models (CRES-flowNS, RANS), mesoscale model (SKIRON, WRF) and coupled meso-scale and microscale models. The comparison analysis between the satellite wind wake and model results will be presented and discussed. It is first time a comprehensive analysis is performed on this subject. The topic gains increasing importance because there is a growing need to precisely model also mid- and far-field wind farms wakes for development and planning of offshore wind farm clusters.

  7. The influence of extreme winds on coastal oceanography and its implications for coral population connectivity in the southern Arabian Gulf.

    PubMed

    Cavalcante, Geórgenes H; Feary, David A; Burt, John A

    2016-04-30

    Using long-term oceanographic surveys and a 3-D hydrodynamic model we show that localized peak winds (known as shamals) cause fluctuation in water current speed and direction, and substantial oscillations in sea-bottom salinity and temperature in the southern Persian/Arabian Gulf. Results also demonstrate that short-term shamal winds have substantial impacts on oceanographic processes along the southern Persian/Arabian Gulf coastline, resulting in formation of large-scale (52 km diameter) eddies extending from the coast of the United Arab Emirates (UAE) to areas near the off-shore islands of Iran. Such eddies likely play an important role in transporting larvae from well-developed reefs of the off-shore islands to the degraded reef systems of the southern Persian/Arabian Gulf, potentially maintaining genetic and ecological connectivity of these geographically distant populations and enabling enhanced recovery of degraded coral communities in the UAE. Copyright © 2015 Elsevier Ltd. All rights reserved.

  8. Sea loads on ships and offshore structures

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

    Faltinsen, O.

    1990-01-01

    The book introduces the theory of the structural loading on ships and offshore structures caused by wind, waves and currents, and goes on to describe the applications of this theory in terms of real structures. The main topics described are linear-wave induced motions, loads on floating structures, numerical methods for ascertaining wave induced motions and loads, viscous wave loads and damping, stationkeeping and water impact and entry. The applications of the theoretical principles are introduced with extensive use of exercises and examples. Applications covered include conventional ships, barges, high speed marine vehicles, semisubmersibles, tension leg platforms, moored or dynamic positionedmore » ships, risers, buoys, fishing nets, jacket structures and gravity platforms. One aim of the book is to provide a physical understanding through simplified mathematical models. In this way one can develop analytical tools to evaluate results from test models, full scale trials or computer simulation, and learns which parameters represent the major contributions and influences on sea loads.« less

  9. The Feasibility of Wind and Solar Energy Application for Oil and Gas Offshore Platform

    NASA Astrophysics Data System (ADS)

    Tiong, Y. K.; Zahari, M. A.; Wong, S. F.; Dol, S. S.

    2015-04-01

    Renewable energy is an energy which is freely available in nature such as winds and solar energy. It plays a critical role in greening the energy sector as these sources of energy produce little or no pollution to environment. This paper will focus on capability of renewable energy (wind and solar) in generating power for offshore application. Data of wind speeds and solar irradiation that are available around SHELL Sabah Water Platform for every 10 minutes, 24 hours a day, for a period of one year are provided by SHELL Sarawak Sdn. Bhd. The suitable wind turbine and photovoltaic panel that are able to give a high output and higher reliability during operation period are selected by using the tabulated data. The highest power output generated using single wind energy application is equal to 492 kW while for solar energy application is equal to 20 kW. Using the calculated data, the feasibility of renewable energy is then determined based on the platform energy demand.

  10. An analysis of offshore wind farm SCADA measurements to identify key parameters influencing the magnitude of wake effects

    NASA Astrophysics Data System (ADS)

    Mittelmeier, N.; Blodau, T.; Steinfeld, G.; Rott, A.; Kühn, M.

    2016-09-01

    Atmospheric conditions have a clear influence on wake effects. Stability classification is usually based on wind speed, turbulence intensity, shear and temperature gradients measured partly at met masts, buoys or LiDARs. The objective of this paper is to find a classification for stability based on wind turbine Supervisory Control and Data Acquisition (SCADA) measurements in order to fit engineering wake models better to the current ambient conditions. Two offshore wind farms with met masts have been used to establish a correlation between met mast stability classification and new aggregated statistical signals based on multiple measurement devices. The significance of these new signals on power production is demonstrated for two wind farms with met masts and validated against data from one further wind farm without a met mast. We found a good correlation between the standard deviation of active power divided by the average power of wind turbines in free flow with the ambient turbulence intensity when the wind turbines were operating in partial load.

  11. Evaluation of the effectiveness of a variable advisory speed system on queue mitigation in work zones.

    DOT National Transportation Integrated Search

    2011-04-01

    Variable Advisory Speed Systems (VASS) provide drivers with advanced warning regarding traffic speeds downstream to help them make better decisions. Vehicle use on highways is increasing and the need to improve highways brings increased construction ...

  12. Variable Speed Limit (VSL) - Best Management Practice

    DOT National Transportation Integrated Search

    2012-07-01

    The Variable Speed Limit (VSL) system on the I-4 corridor in Orlando was implemented by Florida Department of Transportation in 2008, and since its deployment, it was revealed that the majority of traffic exceeds the speed limit by more mph when the ...

  13. Onshore-offshore wind energy resource evaluation based on synergetic use of multiple satellite data and meteorological stations in Jiangsu Province, China

    NASA Astrophysics Data System (ADS)

    Wei, Xianglin; Duan, Yuewei; Liu, Yongxue; Jin, Song; Sun, Chao

    2018-05-01

    The demand for efficient and cost-effective renewable energy is increasing as traditional sources of energy such as oil, coal, and natural gas, can no longer satisfy growing global energy demands. Among renewable energies, wind energy is the most prominent due to its low, manageable impacts on the local environment. Based on meteorological data from 2006 to 2014 and multi-source satellite data (i.e., Advanced Scatterometer, Quick Scatterometer, and Windsat) from 1999 to 2015, an assessment of the onshore and offshore wind energy potential in Jiangsu Province was performed by calculating the average wind speed, average wind direction, wind power density, and annual energy production (AEP). Results show that Jiangsu has abundant wind energy resources, which increase from inland to coastal areas. In onshore areas, wind power density is predominantly less than 200 W/m2, while in offshore areas, wind power density is concentrates in the range of 328-500 W/m2. Onshore areas comprise more than 13,573.24 km2, mainly located in eastern coastal regions with good wind farm potential. The total wind power capacity in onshore areas could be as much as 2.06 x 105 GWh. Meanwhile, offshore wind power generation in Jiangsu Province is calculated to reach 2 x 106 GWh, which is approximately four times the electricity demand of the entire Jiangsu Province. This study validates the effective application of Advanced Scatterometer, Quick Scatterometer, and Windsat data to coastal wind energy monitoring in Jiangsu. Moreover, the methodology used in this study can be effectively applied to other similar coastal zones.

  14. An Improved Global Wind Resource Estimate for Integrated Assessment Models: Preprint

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

    Eurek, Kelly; Sullivan, Patrick; Gleason, Michael

    This paper summarizes initial steps to improving the robustness and accuracy of global renewable resource and techno-economic assessments for use in integrated assessment models. We outline a method to construct country-level wind resource supply curves, delineated by resource quality and other parameters. Using mesoscale reanalysis data, we generate estimates for wind quality, both terrestrial and offshore, across the globe. Because not all land or water area is suitable for development, appropriate database layers provide exclusions to reduce the total resource to its technical potential. We expand upon estimates from related studies by: using a globally consistent data source of uniquelymore » detailed wind speed characterizations; assuming a non-constant coefficient of performance for adjusting power curves for altitude; categorizing the distance from resource sites to the electric power grid; and characterizing offshore exclusions on the basis of sea ice concentrations. The product, then, is technical potential by country, classified by resource quality as determined by net capacity factor. Additional classifications dimensions are available, including distance to transmission networks for terrestrial wind and distance to shore and water depth for offshore. We estimate the total global wind generation potential of 560 PWh for terrestrial wind with 90% of resource classified as low-to-mid quality, and 315 PWh for offshore wind with 67% classified as mid-to-high quality. These estimates are based on 3.5 MW composite wind turbines with 90 m hub heights, 0.95 availability, 90% array efficiency, and 5 MW/km2 deployment density in non-excluded areas. We compare the underlying technical assumption and results with other global assessments.« less

  15. Fixed-speed and Variable-speed Pumped Storage Dispatch Model in Power Systems with High Renewable Penetration

    NASA Astrophysics Data System (ADS)

    Yuan, Bo; Zong, Jin; Xu, Zhicheng

    2018-06-01

    According to different operating characteristics of pumped storage fixed speed unit and variable speed unit, a joint dispatching model of pumped storage unit and other types of units based on mixed integer linear optimization is constructed. The model takes into account the operating conditions, reservoir capacity, cycle type and other pumped storage unit constraints, but also consider the frequent start and stop and the stability of the operation of the unit caused by the loss. Using the Cplex solver to solve the model, the empirical example of the provincial power grid shows that the model can effectively arrange the pumping storage speed and the dispatching operation of the variable speed unit under the precondition of economic life of the unit, and give full play to the function of peak shaving and accommodating new energy. Because of its more flexible regulation characteristics of power generation and pumping conditions, the variable speed unit can better improve the operating conditions of other units in the system and promote the new energy dissipation.

  16. Post-processing method for wind speed ensemble forecast using wind speed and direction

    NASA Astrophysics Data System (ADS)

    Sofie Eide, Siri; Bjørnar Bremnes, John; Steinsland, Ingelin

    2017-04-01

    Statistical methods are widely applied to enhance the quality of both deterministic and ensemble NWP forecasts. In many situations, like wind speed forecasting, most of the predictive information is contained in one variable in the NWP models. However, in statistical calibration of deterministic forecasts it is often seen that including more variables can further improve forecast skill. For ensembles this is rarely taken advantage of, mainly due to that it is generally not straightforward how to include multiple variables. In this study, it is demonstrated how multiple variables can be included in Bayesian model averaging (BMA) by using a flexible regression method for estimating the conditional means. The method is applied to wind speed forecasting at 204 Norwegian stations based on wind speed and direction forecasts from the ECMWF ensemble system. At about 85 % of the sites the ensemble forecasts were improved in terms of CRPS by adding wind direction as predictor compared to only using wind speed. On average the improvements were about 5 %, but mainly for moderate to strong wind situations. For weak wind speeds adding wind direction had more or less neutral impact.

  17. Simulated wind-generated inertial oscillations compared to current measurements in the northern North Sea

    NASA Astrophysics Data System (ADS)

    Bruserud, Kjersti; Haver, Sverre; Myrhaug, Dag

    2018-06-01

    Measured current speed data show that episodes of wind-generated inertial oscillations dominate the current conditions in parts of the northern North Sea. In order to acquire current data of sufficient duration for robust estimation of joint metocean design conditions, such as wind, waves, and currents, a simple model for episodes of wind-generated inertial oscillations is adapted for the northern North Sea. The model is validated with and compared against measured current data at one location in the northern North Sea and found to reproduce the measured maximum current speed in each episode with considerable accuracy. The comparison is further improved when a small general background current is added to the simulated maximum current speeds. Extreme values of measured and simulated current speed are estimated and found to compare well. To assess the robustness of the model and the sensitivity of current conditions from location to location, the validated model is applied at three other locations in the northern North Sea. In general, the simulated maximum current speeds are smaller than the measured, suggesting that wind-generated inertial oscillations are not as prominent at these locations and that other current conditions may be governing. Further analysis of the simulated current speed and joint distribution of wind, waves, and currents for design of offshore structures will be presented in a separate paper.

  18. Simulated wind-generated inertial oscillations compared to current measurements in the northern North Sea

    NASA Astrophysics Data System (ADS)

    Bruserud, Kjersti; Haver, Sverre; Myrhaug, Dag

    2018-04-01

    Measured current speed data show that episodes of wind-generated inertial oscillations dominate the current conditions in parts of the northern North Sea. In order to acquire current data of sufficient duration for robust estimation of joint metocean design conditions, such as wind, waves, and currents, a simple model for episodes of wind-generated inertial oscillations is adapted for the northern North Sea. The model is validated with and compared against measured current data at one location in the northern North Sea and found to reproduce the measured maximum current speed in each episode with considerable accuracy. The comparison is further improved when a small general background current is added to the simulated maximum current speeds. Extreme values of measured and simulated current speed are estimated and found to compare well. To assess the robustness of the model and the sensitivity of current conditions from location to location, the validated model is applied at three other locations in the northern North Sea. In general, the simulated maximum current speeds are smaller than the measured, suggesting that wind-generated inertial oscillations are not as prominent at these locations and that other current conditions may be governing. Further analysis of the simulated current speed and joint distribution of wind, waves, and currents for design of offshore structures will be presented in a separate paper.

  19. Simplified rotor load models and fatigue damage estimates for offshore wind turbines.

    PubMed

    Muskulus, M

    2015-02-28

    The aim of rotor load models is to characterize and generate the thrust loads acting on an offshore wind turbine. Ideally, the rotor simulation can be replaced by time series from a model with a few parameters and state variables only. Such models are used extensively in control system design and, as a potentially new application area, structural optimization of support structures. Different rotor load models are here evaluated for a jacket support structure in terms of fatigue lifetimes of relevant structural variables. All models were found to be lacking in accuracy, with differences of more than 20% in fatigue load estimates. The most accurate models were the use of an effective thrust coefficient determined from a regression analysis of dynamic thrust loads, and a novel stochastic model in state-space form. The stochastic model explicitly models the quasi-periodic components obtained from rotational sampling of turbulent fluctuations. Its state variables follow a mean-reverting Ornstein-Uhlenbeck process. Although promising, more work is needed on how to determine the parameters of the stochastic model and before accurate lifetime predictions can be obtained without comprehensive rotor simulations. © 2015 The Author(s) Published by the Royal Society. All rights reserved.

  20. Offshore drilling effects in Brazilian SE marine sediments: a meta-analytical approach.

    PubMed

    Dore, Marina Pereira; Farias, Cássia; Hamacher, Cláudia

    2017-01-01

    The exploration and production of oil and gas reserves often result to drill cutting accumulations on the seafloor adjacent to drill locations. In this study, the detection of drilling influence on marine sediments was performed by meta-analytical comparison between data from pre- and post-drilling surveys undertaken in offshore Campos Basin, southeast of Brazil. Besides this overall appraisal on the geochemical variables, a multivariate assessment, considering only the post-drilling data, was performed. Among the variables, fines content, carbonates, total organic carbon, barium, chromium, copper, iron, manganese, nickel, lead, vanadium, zinc, and total petroleum hydrocarbons, only barium, copper, and hydrocarbons were related to drilling impacts. In relation to the point of discharge, relative elevated levels in the post-drilling campaigns were observed preferentially up to 500 m in the northeast and southwest directions, associated to the Brazil Current-predominant direction. Other distributed concentrations in the surroundings seem to indicate the dilution and dispersion of drilling waste promoted by meteoceanographic factors.

  1. Analysis of the spatio-temporal variability of seawater quality in the southeastern Arabian Gulf.

    PubMed

    Mezhoud, Nahla; Temimi, Marouane; Zhao, Jun; Al Shehhi, Maryam Rashed; Ghedira, Hosni

    2016-05-15

    In this study, seawater quality measurements, including salinity, sea surface temperature (SST), chlorophyll-a (Chl-a), Secchi disk depth (SDD), pH, and dissolved oxygen (DO), were made from June 2013 to November 2014 at 52 stations in the southeastern Arabian Gulf. Significant variability was noticed for all collected parameters. Salinity showed a decreasing trend, and Chl-a, DO, pH, and SDD demonstrated increasing trends from shallow onshore stations to deep offshore ones, which could be attributed to variations of ocean circulation and meteorological conditions from onshore to offshore waters, and the likely effects of desalination plants along the coast. Salinity and temperature were high in summer and low in winter while Chl-a, SDD, pH, and DO indicated an opposite trend. The CTD profiles showed vertically well-mixed structures. Qualitative analysis of phytoplankton showed a high diversity of species without anomalous species found except in Ras Al Khaimah stations where diatoms were the dominating ones. Copyright © 2016 Elsevier Ltd. All rights reserved.

  2. Use of Seafloor Electromagnetic and Acoustic Backscatter Data for Seafloor Classification: An Example From Martha's Vineyard, Massachusetts.

    NASA Astrophysics Data System (ADS)

    Evans, R. L.; Kraft, B.; Mayer, L.

    2006-12-01

    Near surface offshore geophysical data allow sediment classification in coastal settings at high levels of spatial detail. We present data from offshore Martha's Vineyard, Massachusetts collected as part of the Office of Naval Researchś Mine Burial Prediction program. Seafloor electromagnetic data provide estimates of near surface porosity at approximately 10m intervals along each tow-line. In addition, the area has undergone repeat surveys with high resolution acoustic backscatter and bathymetry. In some locations, the geophysical data has been groundtruthed by grab sampling and coring. We examine the spatial variability in near surface sediment properties on the basis of the geophysical data. The EM data are particularly well suited to constructing semi-variograms to display length scales of variability. Preliminary examination does not show any obvious correlation between the EM data and acoustic backscatter, however, further processing of the backscatter is being carried out and so this result is tentative.

  3. Work zone variable speed limit systems: Effectiveness and system design issues.

    DOT National Transportation Integrated Search

    2010-03-01

    Variable speed limit (VSL) systems have been used in a number of countries, particularly in Europe, as a method to improve flow and increase safety. VSLs use detectors to collect data on current traffic and/or weather conditions. Posted speed limits ...

  4. Work zone variable speed limit systems : effectiveness and system design issues.

    DOT National Transportation Integrated Search

    2010-03-01

    Variable speed limit (VSL) systems have been used in a number of countries, particularly in Europe, as a method to improve flow and increase safety. VSLs use detectors to collect data on current traffic and/or weather conditions. Posted speed limits ...

  5. Variable-speed, portable routing skate

    NASA Technical Reports Server (NTRS)

    Pesch, W. A.

    1967-01-01

    Lightweight, portable, variable-speed routing skate is used on heavy metal subassemblies which are impractical to move to a stationary machine. The assembly, consisting of the housing with rollers, router, and driving mechanism with transmission, weighs about forty pounds. Both speed and depth of cut are adjustable.

  6. Level of Recall, Retrieval Speed, and Variability on the Cued-Recall Retrieval Speed Task (CRRST) in Individuals with Amnestic Mild Cognitive Impairment

    PubMed Central

    Ramratan, Wendy S.; Rabin, Laura A.; Wang, Cuiling; Zimmerman, Molly E.; Katz, Mindy J.; Lipton, Richard B.; Buschke, Herman

    2013-01-01

    Individuals with amnestic mild cognitive impairment (aMCI) show deficits on traditional episodic memory tasks and reductions in speed of performance on reaction time tasks. We present results on a novel task, the Cued-Recall Retrieval Speed Test (CRRST), designed to simultaneously measure level and speed of retrieval. 390 older adults (mean age of 80.2 years), learned 16 words based on corresponding categorical cues. In the retrieval phase, we measured accuracy (% correct) and retrieval speed/reaction time (RT; time from cue presentation to voice onset of a correct response) across 6 trials. Compared to healthy elderly adults (HEA, n = 303), those with aMCI (n = 87) exhibited poorer performance in retrieval speed (difference = −0.13, p<.0001) and accuracy on the first trial (difference = −0.19, p<.0001), and their rate of improvement in retrieval speed was slower over subsequent trials. Those with aMCI also had greater within-person variability in processing speed (variance ratio = 1.22, p = 0.0098) and greater between-person variability in accuracy (variance ratio = 2.08, p = 0.0001) relative to HEA. Results are discussed in relation to the possibility that computer-based measures of cued-learning and processing speed variability may facilitate early detection of dementia in at-risk older adults. PMID:22265423

  7. 21st Century HVAC System for Future Naval Surface Combatants - Concept Development Report

    DTIC Science & Technology

    2007-09-01

    application of permanent magnet motors to ventilation fans3. The study emphasized reducing the motor size, incorporating variable speed operation to reduce...Incorporation of permanent magnet motors and variable speed is also feasible. Permanent magnet motor technology is ideally suited for variable...family incorporates high speed permanent magnet motors and further fan blade design improvements. The fan diameters will be reduced, substantially, at the

  8. Decomposing ADHD-Related Effects in Response Speed and Variability

    PubMed Central

    Karalunas, Sarah L.; Huang-Pollock, Cynthia L.; Nigg, Joel T.

    2012-01-01

    Objective Slow and variable reaction times (RTs) on fast tasks are such a prominent feature of Attention Deficit Hyperactivity Disorder (ADHD) that any theory must account for them. However, this has proven difficult because the cognitive mechanisms responsible for this effect remain unexplained. Although speed and variability are typically correlated, it is unclear whether single or multiple mechanisms are responsible for group differences in each. RTs are a result of several semi-independent processes, including stimulus encoding, rate of information processing, speed-accuracy trade-offs, and motor response, which have not been previously well characterized. Method A diffusion model was applied to RTs from a forced-choice RT paradigm in two large, independent case-control samples (NCohort 1= 214 and N Cohort 2=172). The decomposition measured three validated parameters that account for the full RT distribution, and assessed reproducibility of ADHD effects. Results In both samples, group differences in traditional RT variables were explained by slow information processing speed, and unrelated to speed-accuracy trade-offs or non-decisional processes (e.g. encoding, motor response). Conclusions RT speed and variability in ADHD may be explained by a single information processing parameter, potentially simplifying explanations that assume different mechanisms are required to account for group differences in the mean and variability of RTs. PMID:23106115

  9. Axial force and efficiency tests of fixed center variable speed belt drive

    NASA Technical Reports Server (NTRS)

    Bents, D. J.

    1981-01-01

    An investigation of how the axial force varies with the centerline force at different speed ratios, speeds, and loads, and how the drive's transmission efficiency is affected by these related forces is described. The tests, intended to provide a preliminary performance and controls characterization for a variable speed belt drive continuously variable transmission (CVT), consisted of the design and construction of an experimental test rig geometrically similar to the CVT, and operation of that rig at selected speed ratios and power levels. Data are presented which show: how axial forces exerted on the driver and driven sheaves vary with the centerline force at constant values of speed ratio, speed, and output power; how the transmission efficiency varies with centerline force and how it is also a function of the V belt coefficient; and the axial forces on both sheaves as normalized functions of the traction coefficient.

  10. Understanding the Benefits and Limitations of Increasing Maximum Rotor Tip Speed for Utility-Scale Wind Turbines

    NASA Astrophysics Data System (ADS)

    Ning, A.; Dykes, K.

    2014-06-01

    For utility-scale wind turbines, the maximum rotor rotation speed is generally constrained by noise considerations. Innovations in acoustics and/or siting in remote locations may enable future wind turbine designs to operate with higher tip speeds. Wind turbines designed to take advantage of higher tip speeds are expected to be able to capture more energy and utilize lighter drivetrains because of their decreased maximum torque loads. However, the magnitude of the potential cost savings is unclear, and the potential trade-offs with rotor and tower sizing are not well understood. A multidisciplinary, system-level framework was developed to facilitate wind turbine and wind plant analysis and optimization. The rotors, nacelles, and towers of wind turbines are optimized for minimum cost of energy subject to a large number of structural, manufacturing, and transportation constraints. These optimization studies suggest that allowing for higher maximum tip speeds could result in a decrease in the cost of energy of up to 5% for land-based sites and 2% for offshore sites when using current technology. Almost all of the cost savings are attributed to the decrease in gearbox mass as a consequence of the reduced maximum rotor torque. Although there is some increased energy capture, it is very minimal (less than 0.5%). Extreme increases in tip speed are unnecessary; benefits for maximum tip speeds greater than 100-110 m/s are small to nonexistent.

  11. Role of pump hydro in electric power systems

    NASA Astrophysics Data System (ADS)

    Bessa, R.; Moreira, C.; Silva, B.; Filipe, J.; Fulgêncio, N.

    2017-04-01

    This paper provides an overview of the expected role that variable speed hydro power plants can have in future electric power systems characterized by a massive integration of highly variable sources. Therefore, it is discussed the development of a methodology for optimising the operation of hydropower plants under increasing contribution from new renewable energy sources, addressing the participation of a hydropower plant with variable speed pumping in reserve markets. Complementarily, it is also discussed the active role variable speed generators can have in the provision of advanced frequency regulation services.

  12. Energy Transfer to Upper Trophic Levels on a Small Offshore Bank

    DTIC Science & Technology

    2007-01-01

    that generate feeding “ hotspots ” is essential to understanding their temporal variability, and whether good feeding conditions are limited by bottom...processes influencing patterns of biodiversity in the oceans) and with NOAA agency interests in the conservation of marine mammal populations. This

  13. The structure and dynamics of barrier jets along the southeast Alaskan coast

    NASA Astrophysics Data System (ADS)

    Olson, Joseph Benjamin

    Coastal barrier jets along the complex orography of southeastern Alaska were investigated using high resolution observations and model simulations. Barrier jet events were sampled with the Wyoming King-Air research aircraft during the Southeastern Alaskan Regional Jet (SARJET) field experiment in 2004. These observations, combined with simulations of select cases by the Penn State-NCAR Mesoscale Model (MM5), were used to better understand barrier jet structure and dynamics. A suite of idealized simulations were used to put the case studies in perspective with a larger set of atmospheric conditions, while also evaluating previous theoretical and observational results. Two SARJET case studies were investigated along the tall and steep Fairweather Mountains near Juneau, Alaska. The first case (24 September 2004) was a classical barrier jet forced primarily by onshore flow and upslope adiabatic cooling, with maximum winds >30 m s-1 at the coast between 600-800 m ASL and an offshore extent of ˜60 km. In contrast, the hybrid jet (12 October 2004) was influenced by an offshore-directed gap flow at the coast, which produced a warm anomaly over the coast associated with downslope flow and a wind maximum (˜30 m s-1) that was displaced 30-40 km offshore at 500 m ASL. A sensitivity experiment in which the coastal mountain gap was filled led to a ˜40% reduction in the jet width, and the position of the jet maximum shifted ˜40 km to the coast, but the overall jet intensity remained approximately the same. The generality of these SARJET results was tested by generating a set of three-dimensional idealized MM5 simulations by varying wind speeds, wind directions, and static stabilities for the classical jet simulations, while incrementing the magnitude of the inland cold pool (instead of static stability) for hybrid jet simulations. The broad inland terrain was shown to impact the upstream winds by rotating them cyclonically to become more terrain-parallel within 500-1000 km of the coast. This reduced cross-barrier component acted to reduce the local Froude number of the impinging flow, thus enhancing the potential for flow blocking. Thus, the enhancement of the large-scale mountain anticyclone by the inland terrain acts to "precondition" the impinging flow for barrier jet development. The largest simulated wind speed enhancements (˜1.9-2.0) for the classic and hybrid jets occurred for low Froude numbers ( Fr), with a maximum at Fr ˜0.3-0.4. Low ambient wind speeds (10--15 m s-1) and southerly (170-180°) wind directions (˜30-45° from coast-parallel) were also ingredients for the largest wind speed enhancements. The widest barrier jets were found in simulations with ambient winds oriented nearly terrain-parallel (˜160°) with strong static stability (N > 0.01 s-1). Hybrid barrier jets were slightly wider than the classical, with the gap outflows acting to shift the position of the jet maximum further away from the coast. During periods of maximal gap outflow (hrs 6-18), the height of the jet maximums were typically lower than the classical simulations, since the hybrid jet maximum was located at the top of the shallow gap outflow. The jet height was most correlated with total wind speed, Utotal, and negatively correlated with static stability, N, suggesting that the height of the jet maximum approximately scales as U total/N, which is proportional to the vertical wavelength of a mountain wave. Finally, a detailed assessment of the usefulness of the previous linear theory and scale analysis on barrier jets was performed. The high Fr relationship (L = Nhm/ f) performed better than the low Fr relationship (L = Un/f) in determining the offshore extent of the barrier jet. The implementation of the dividing streamline concept of Sheppard's model for determining the proper blocking height (hd) resulted in a modified form (L = Nhd/ f), which improved the predictive skill. For the determination of maximum wind speeds, the high Fr relationship (DeltaV = Nhm) was found to be better correlated with the measured values than the low Fr relationship ( DeltaV = Un) throughout the full range of Fr. Two-dimensional linear theory performed poorly for Fr < 0.5. Modifications were made to these previous relationships to better account for the three dimensional winds, which helped to improve the estimated wind speed enhancements.

  14. General Investigation of Tidal Inlets: Stability of Selected United States Tidal Inlets

    DTIC Science & Technology

    1991-09-01

    characteristics in relation to the variability of the hydr; aulic parameters. An inlet can fall into any of four "stability" classes 48 Orientation Parameter 80...nlot he ~ :Ke(: t 93. If a fairly straight coast with uniform offshore slopes and a regionally homogeneous wave climate is considered, a reasonable...expectation is LhaL the longshore transport quantities and directions are homogeneous. Given a long-term variability in wave climate , a corresponding

  15. Drivers of coastal bacterioplankton community diversity and structure along a nutrient gradient in the East China Sea

    NASA Astrophysics Data System (ADS)

    He, Jiaying; Wang, Kai; Xiong, Jinbo; Guo, Annan; Zhang, Demin; Fei, Yuejun; Ye, Xiansen

    2017-04-01

    Anthropogenic nutrient discharge poses widespread threats to coastal ecosystems and has increased environmental gradients from coast to sea. Bacterioplankton play crucial roles in coastal biogeochemical cycling, and a variety of factors affect bacterial community diversity and structure. We used 16S rRNA gene pyrosequencing to investigate the spatial variation in bacterial community composition (BCC) across five sites on a coast-offshore gradient in the East China Sea. Overall, bacterial alpha-diversity did not differ across sites, except that richness and phylogenetic diversity were lower in the offshore sites, and the highest alpha-diversity was found in the most landward site, with Chl-a being the main factor. BCCs generally clustered into coastal and offshore groups. Chl-a explained 12.3% of the variation in BCCs, more than that explained by either the physicochemical (5.7%) or spatial (8.5%) variables. Nutrients (particularly nitrate and phosphate), along with phytoplankton abundance, were more important than other physicochemical factors, co-explaining 20.0% of the variation in BCCs. Additionally, a series of discriminant families (primarily affiliated with Gammaproteobacteria and Alphaproteobacteria), whose relative abundances correlated with Chl-a, DIN, and phosphate concentrations, were identified, implying their potential to indicate phytoplankton blooms and nutrient enrichment in this marine ecosystem. This study provides insight into bacterioplankton response patterns along a coast-offshore gradient, with phytoplankton abundance increasing in the offshore sites. Time-series sampling across multiple transects should be performed to determine the seasonal and spatial patterns in bacterial diversity and community structure along this gradient.

  16. Seasonal and spatial variations of macro- and megabenthic community characteristics in two sections of the East China Sea

    NASA Astrophysics Data System (ADS)

    Xu, Yong; Li, Xinzheng; Ma, Lin; Dong, Dong; Kou, Qi; Sui, Jixing; Gan, Zhibin; Wang, Hongfa

    2017-09-01

    In spring and summer 2011, the macro- and megabenthic fauna in two sections of the East China Sea were investigated using an Agassiz net trawl to detect the seasonal and spatial variations of benthic community characteristics and the relation to environmental variables. The total number of species increased slightly from spring (131 species) to summer (133) whereas the percentage of Mollusca decreased significantly. The index of relative importance (IRI) indicated that the top five important species changed completely from spring to summer. Species number, abundance and biomass in summer were significantly higher than in spring, but no significant difference was observed among areas (coastal, transitional and oceanic areas, divided basically from inshore to offshore). Species richness ( d), diversity ( H') and evenness ( J') showed no significant seasonal or spatial variations. Cluster analysis and nMDS ordination identified three benthic communities from inshore to offshore, corresponding to the three areas. Analysis of Similarity (ANOSIM) indicated the overall significant difference in community structure between seasons and among areas. K-dominance curves revealed the high intrinsic diversity in the offshore area. Canonical correspondence analysis showed that the coastal community was positively correlated to total nitrogen and total organic carbon in spring, but negatively in summer; oceanic community was positively correlated to total nitrogen and total organic carbon in both seasons. Species such as Coelorhynchus multispinulosus, Neobythites sivicola, Lepidotrigla alata, Solenocera melantho, Parapenaeus fissuroides, Oratosquilla gonypetes and Spiropagurus spiriger occurred exclusively in the offshore oceanic area and their presence may reflect the influence of the offshore Kuroshio Current.

  17. Drivers of coastal bacterioplankton community diversity and structure along a nutrient gradient in the East China Sea

    NASA Astrophysics Data System (ADS)

    He, Jiaying; Wang, Kai; Xiong, Jinbo; Guo, Annan; Zhang, Demin; Fei, Yuejun; Ye, Xiansen

    2018-03-01

    Anthropogenic nutrient discharge poses widespread threats to coastal ecosystems and has increased environmental gradients from coast to sea. Bacterioplankton play crucial roles in coastal biogeochemical cycling, and a variety of factors affect bacterial community diversity and structure. We used 16S rRNA gene pyrosequencing to investigate the spatial variation in bacterial community composition (BCC) across five sites on a coast-offshore gradient in the East China Sea. Overall, bacterial alpha-diversity did not differ across sites, except that richness and phylogenetic diversity were lower in the offshore sites, and the highest alpha-diversity was found in the most landward site, with Chl-a being the main factor. BCCs generally clustered into coastal and offshore groups. Chl-a explained 12.3% of the variation in BCCs, more than that explained by either the physicochemical (5.7%) or spatial (8.5%) variables. Nutrients (particularly nitrate and phosphate), along with phytoplankton abundance, were more important than other physicochemical factors, co-explaining 20.0% of the variation in BCCs. Additionally, a series of discriminant families (primarily affiliated with Gammaproteobacteria and Alphaproteobacteria), whose relative abundances correlated with Chl-a, DIN, and phosphate concentrations, were identified, implying their potential to indicate phytoplankton blooms and nutrient enrichment in this marine ecosystem. This study provides insight into bacterioplankton response patterns along a coast-offshore gradient, with phytoplankton abundance increasing in the offshore sites. Time-series sampling across multiple transects should be performed to determine the seasonal and spatial patterns in bacterial diversity and community structure along this gradient.

  18. Assessment of power step performances of variable speed pump-turbine unit by means of hydro-electrical system simulation

    NASA Astrophysics Data System (ADS)

    Béguin, A.; Nicolet, C.; Hell, J.; Moreira, C.

    2017-04-01

    The paper explores the improvement in ancillary services that variable speed technologies can provide for the case of an existing pumped storage power plant of 2x210 MVA which conversion from fixed speed to variable speed is investigated with a focus on the power step performances of the units. First two motor-generator variable speed technologies are introduced, namely the Doubly Fed Induction Machine (DFIM) and the Full Scale Frequency Converter (FSFC). Then a detailed numerical simulation model of the investigated power plant used to simulate power steps response and comprising the waterways, the pump-turbine unit, the motor-generator, the grid connection and the control systems is presented. Hydroelectric system time domain simulations are performed in order to determine the shortest response time achievable, taking into account the constraints from the maximum penstock pressure and from the rotational speed limits. It is shown that the maximum instantaneous power step response up and down depends on the hydro-mechanical characteristics of the pump-turbine unit and of the motor-generator speed limits. As a results, for the investigated test case, the FSFC solution offer the best power step response performances.

  19. Engine lubrication circuit including two pumps

    DOEpatents

    Lane, William H.

    2006-10-03

    A lubrication pump coupled to the engine is sized such that the it can supply the engine with a predetermined flow volume as soon as the engine reaches a peak torque engine speed. In engines that operate predominately at speeds above the peak torque engine speed, the lubrication pump is often producing lubrication fluid in excess of the predetermined flow volume that is bypassed back to a lubrication fluid source. This arguably results in wasted power. In order to more efficiently lubricate an engine, a lubrication circuit includes a lubrication pump and a variable delivery pump. The lubrication pump is operably coupled to the engine, and the variable delivery pump is in communication with a pump output controller that is operable to vary a lubrication fluid output from the variable delivery pump as a function of at least one of engine speed and lubrication flow volume or system pressure. Thus, the lubrication pump can be sized to produce the predetermined flow volume at a speed range at which the engine predominately operates while the variable delivery pump can supplement lubrication fluid delivery from the lubrication pump at engine speeds below the predominant engine speed range.

  20. Within-day variability on short and long walking tests in persons with multiple sclerosis.

    PubMed

    Feys, Peter; Bibby, Bo; Romberg, Anders; Santoyo, Carme; Gebara, Benoit; de Noordhout, Benoit Maertens; Knuts, Kathy; Bethoux, Francois; Skjerbæk, Anders; Jensen, Ellen; Baert, Ilse; Vaney, Claude; de Groot, Vincent; Dalgas, Ulrik

    2014-03-15

    To compare within-day variability of short (10 m walking test at usual and fastest speed; 10MWT) and long (2 and 6-minute walking test; 2MWT/6MWT) tests in persons with multiple sclerosis. Observational study. MS rehabilitation and research centers in Europe and US within RIMS (European network for best practice and research in MS rehabilitation). Ambulatory persons with MS (Expanded Disability Status Scale 0-6.5). Subjects of different centers performed walking tests at 3 time points during a single day. 10MWT, 2MWT and 6MWT at fastest speed and 10MWT at usual speed. Ninety-five percent limits of agreement were computed using a random effects model with individual pwMS as random effect. Following this model, retest scores are with 95% certainty within these limits of baseline scores. In 102 subjects, within-day variability was constant in absolute units for the 10MWT, 2MWT and 6MWT at fastest speed (+/-0.26, 0.16 and 0.15m/s respectively, corresponding to +/-19.2m and +/-54 m for the 2MWT and 6MWT) independent on the severity of ambulatory dysfunction. This implies a greater relative variability with increasing disability level, often above 20% depending on the applied test. The relative within-day variability of the 10MWT at usual speed was +/-31% independent of ambulatory function. Absolute values of within-day variability on walking tests at fastest speed were independent of disability level and greater with short compared to long walking tests. Relative within-day variability remained overall constant when measured at usual speed. Crown Copyright © 2014. Published by Elsevier B.V. All rights reserved.

  1. One year of vertical wind profiles measurements at a Mediterranean coastal site of South Italy

    NASA Astrophysics Data System (ADS)

    Calidonna, Claudia Roberta; Avolio, Elenio; Federico, Stefano; Gullì, Daniel; Lo Feudo, Teresa; Sempreviva, Anna Maria

    2015-04-01

    In order to develop wind farms projects is challenging to site them on coastal areas both onshore and offshore as suitable sites. Developing projects need high quality databases under a wide range of atmospheric conditions or high resolution models that could resolve the effect of the coastal discontinuity in the surface properties. New parametrizations are important and high quality databases are also needed for formulating them. Ground-based remote sensing devices such as lidars have been shown to be functional for studying the evolution of the vertical wind structure coastal atmospheric boundary layer both on- and offshore. Here, we present results from a year of vertical wind profiles, wind speed and direction, monitoring programme at a site located in the Italian Calabria Region, Central Mediterranean, 600m from the Thyrrenian coastline, where a Lidar Doppler, ZephIr (ZephIr ltd) has been operative since July 2013. The lidar monitors wind speed and direction from 10m up to 300m at 10 vertical levels with an average of 10 minutes and it is supported by a metmast providing: Atmospheric Pressure, Solar Radiation, Precipitation, Relative Humidity, Temperature,Wind Speed and Direction at 10m. We present the characterization of wind profiles during one year period according to the time of the day to transition periods night/day/night classified relating the local scale, breeze scale, to the large scale conditions. The dataset is also functional for techniques for short-term prediction of wind for the renewable energy integration in the distribution grids. The site infrastructure is funded within the Project "Infrastructure of High Technology for Environmental and Climate Monitoring" (I-AMICA) (PONa3_00363) by the Italian National Operative Program (PON 2007-2013) and European Regional Development Fund. Real-time data are show on http://www.i-amica.it/i-amica/?page_id=1122.

  2. The salinity signature of the cross-shelf exchanges in the Southwestern Atlantic Ocean: Satellite observations.

    PubMed

    Guerrero, Raul A; Piola, Alberto R; Fenco, Harold; Matano, Ricardo P; Combes, Vincent; Chao, Yi; James, Corinne; Palma, Elbio D; Saraceno, Martin; Strub, P Ted

    2014-11-01

    Satellite-derived sea surface salinity (SSS) data from Aquarius and SMOS are used to study the shelf-open ocean exchanges in the western South Atlantic near 35°S. Away from the tropics, these exchanges cause the largest SSS variability throughout the South Atlantic. The data reveal a well-defined seasonal pattern of SSS during the analyzed period and of the location of the export of low-salinity shelf waters. In spring and summer, low-salinity waters over the shelf expand offshore and are transferred to the open ocean primarily southeast of the river mouth (from 36°S to 37°30'S). In contrast, in fall and winter, low-salinity waters extend along a coastal plume and the export path to the open ocean distributes along the offshore edge of the plume. The strong seasonal SSS pattern is modulated by the seasonality of the along-shelf component of the wind stress over the shelf. However, the combined analysis of SSS, satellite-derived sea surface elevation and surface velocity data suggest that the precise location of the export of shelf waters depends on offshore circulation patterns, such as the location of the Brazil Malvinas Confluence and mesoscale eddies and meanders of the Brazil Current. The satellite data indicate that in summer, mixtures of low-salinity shelf waters are swiftly driven toward the ocean interior along the axis of the Brazil/Malvinas Confluence. In winter, episodic wind reversals force the low-salinity coastal plume offshore where they mix with tropical waters within the Brazil Current and create a warmer variety of low-salinity waters in the open ocean. Satellite salinity sensors capture low-salinity detrainment events from shelves SW Atlantic low-salinity detrainments cause highest basin-scale variability In summer low-salinity detrainments cause extended low-salinity anomalies.

  3. The salinity signature of the cross-shelf exchanges in the Southwestern Atlantic Ocean: Satellite observations

    PubMed Central

    Guerrero, Raul A; Piola, Alberto R; Fenco, Harold; Matano, Ricardo P; Combes, Vincent; Chao, Yi; James, Corinne; Palma, Elbio D; Saraceno, Martin; Strub, P Ted

    2014-01-01

    Satellite-derived sea surface salinity (SSS) data from Aquarius and SMOS are used to study the shelf-open ocean exchanges in the western South Atlantic near 35°S. Away from the tropics, these exchanges cause the largest SSS variability throughout the South Atlantic. The data reveal a well-defined seasonal pattern of SSS during the analyzed period and of the location of the export of low-salinity shelf waters. In spring and summer, low-salinity waters over the shelf expand offshore and are transferred to the open ocean primarily southeast of the river mouth (from 36°S to 37°30′S). In contrast, in fall and winter, low-salinity waters extend along a coastal plume and the export path to the open ocean distributes along the offshore edge of the plume. The strong seasonal SSS pattern is modulated by the seasonality of the along-shelf component of the wind stress over the shelf. However, the combined analysis of SSS, satellite-derived sea surface elevation and surface velocity data suggest that the precise location of the export of shelf waters depends on offshore circulation patterns, such as the location of the Brazil Malvinas Confluence and mesoscale eddies and meanders of the Brazil Current. The satellite data indicate that in summer, mixtures of low-salinity shelf waters are swiftly driven toward the ocean interior along the axis of the Brazil/Malvinas Confluence. In winter, episodic wind reversals force the low-salinity coastal plume offshore where they mix with tropical waters within the Brazil Current and create a warmer variety of low-salinity waters in the open ocean. Key Points Satellite salinity sensors capture low-salinity detrainment events from shelves SW Atlantic low-salinity detrainments cause highest basin-scale variability In summer low-salinity detrainments cause extended low-salinity anomalies PMID:26213672

  4. Description of the 3 MW SWT-3 wind turbine at San Gorgonio Pass, California

    NASA Technical Reports Server (NTRS)

    Rybak, S. C.

    1982-01-01

    The SWT-3 wind turbine, a microprocessor controlled three bladed variable speed upwind machine with a 3MW rating that is presently operational and undergoing system testing, is discussed. The tower, a rigid triangular truss configuration, is rotated about its vertical axis to position the wind turbine into the prevailing wind. The blades rotate at variable speed in order to maintain an optimum 6 to 1 tip speed ratio between cut in and fated wind velocity, thereby maximizing power extraction from the wind. Rotor variable speed is implemented by the use of a hydrostatic transmission consisting of fourteen fixed displacement pumps operating in conjunction with eighteen variable displacement motors. Full blade pitch with on-off hydraulic actuation is used to maintain 3MW of output power.

  5. Contribution of variable-speed pump hydro storage for power system dynamic performance

    NASA Astrophysics Data System (ADS)

    Silva, B.; Moreira, C.

    2017-04-01

    This paper presents the study of variable-speed Pump Storage Powerplant (PSP) in the Portuguese power system. It evaluates the progressive integration in three major locations and compares the power system performance following a severe fault event with consequent disconnection of non-Fault Ride-through (FRT) compliant Wind Farms (WF). To achieve such objective, a frequency responsive model was developed in PSS/E and was further used to substitute existing fixed-speed PSP. The results allow identifying a clear enhancement on the power system performance by the presence of frequency responsive variable-speed PSP, especially for the scenario presented, with high level of renewables integration.

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

    NASA Astrophysics Data System (ADS)

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

    2013-12-01

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

  7. Two Independent Contributions to Step Variability during Over-Ground Human Walking

    PubMed Central

    Collins, Steven H.; Kuo, Arthur D.

    2013-01-01

    Human walking exhibits small variations in both step length and step width, some of which may be related to active balance control. Lateral balance is thought to require integrative sensorimotor control through adjustment of step width rather than length, contributing to greater variability in step width. Here we propose that step length variations are largely explained by the typical human preference for step length to increase with walking speed, which itself normally exhibits some slow and spontaneous fluctuation. In contrast, step width variations should have little relation to speed if they are produced more for lateral balance. As a test, we examined hundreds of overground walking steps by healthy young adults (N = 14, age < 40 yrs.). We found that slow fluctuations in self-selected walking speed (2.3% coefficient of variation) could explain most of the variance in step length (59%, P < 0.01). The residual variability not explained by speed was small (1.5% coefficient of variation), suggesting that step length is actually quite precise if not for the slow speed fluctuations. Step width varied over faster time scales and was independent of speed fluctuations, with variance 4.3 times greater than that for step length (P < 0.01) after accounting for the speed effect. That difference was further magnified by walking with eyes closed, which appears detrimental to control of lateral balance. Humans appear to modulate fore-aft foot placement in precise accordance with slow fluctuations in walking speed, whereas the variability of lateral foot placement appears more closely related to balance. Step variability is separable in both direction and time scale into balance- and speed-related components. The separation of factors not related to balance may reveal which aspects of walking are most critical for the nervous system to control. PMID:24015308

  8. Discrete wavelet transform and energy eigen value for rotor bars fault detection in variable speed field-oriented control of induction motor drive.

    PubMed

    Ameid, Tarek; Menacer, Arezki; Talhaoui, Hicham; Azzoug, Youness

    2018-05-03

    This paper presents a methodology for the broken rotor bars fault detection is considered when the rotor speed varies continuously and the induction machine is controlled by Field-Oriented Control (FOC). The rotor fault detection is obtained by analyzing a several mechanical and electrical quantities (i.e., rotor speed, stator phase current and output signal of the speed regulator) by the Discrete Wavelet Transform (DWT) in variable speed drives. The severity of the fault is obtained by stored energy calculation for active power signal. Hence, it can be a useful solution as fault indicator. The FOC is implemented in order to preserve a good performance speed control; to compensate the broken rotor bars effect in the mechanical speed and to ensure the operation continuity and to investigate the fault effect in the variable speed. The effectiveness of the technique is evaluated in simulation and in a real-time implementation by using Matlab/Simulink with the real-time interface (RTI) based on dSpace 1104 board. Copyright © 2018. Published by Elsevier Ltd.

  9. Reduction of tablet weight variability by optimizing paddle speed in the forced feeder of a high-speed rotary tablet press.

    PubMed

    Peeters, Elisabeth; De Beer, Thomas; Vervaet, Chris; Remon, Jean-Paul

    2015-04-01

    Tableting is a complex process due to the large number of process parameters that can be varied. Knowledge and understanding of the influence of these parameters on the final product quality is of great importance for the industry, allowing economic efficiency and parametric release. The aim of this study was to investigate the influence of paddle speeds and fill depth at different tableting speeds on the weight and weight variability of tablets. Two excipients possessing different flow behavior, microcrystalline cellulose (MCC) and dibasic calcium phosphate dihydrate (DCP), were selected as model powders. Tablets were manufactured via a high-speed rotary tablet press using design of experiments (DoE). During each experiment also the volume of powder in the forced feeder was measured. Analysis of the DoE revealed that paddle speeds are of minor importance for tablet weight but significantly affect volume of powder inside the feeder in case of powders with excellent flowability (DCP). The opposite effect of paddle speed was observed for fairly flowing powders (MCC). Tableting speed played a role in weight and weight variability, whereas changing fill depth exclusively influenced tablet weight. The DoE approach allowed predicting the optimum combination of process parameters leading to minimum tablet weight variability. Monte Carlo simulations allowed assessing the probability to exceed the acceptable response limits if factor settings were varied around their optimum. This multi-dimensional combination and interaction of input variables leading to response criteria with acceptable probability reflected the design space.

  10. Coastal nutrification and coral health at Porto Seguro reefs, Brazil

    NASA Astrophysics Data System (ADS)

    Costa, O.; Attrill, M.; Nimmo, M.

    2003-04-01

    Human activities have substantially increased the natural flux of nutrients to coastal systems worldwide. In Brazilian reefs, all major stresses (sedimentation, overfishing, tourism-related activities and nutrification) are human induced. To assess nutrification levels in Brazilian coastal reefs, measurements of the distribution patterns of nutrients and chlorophyll concentrations were conducted in three nearshore and offshore reefs with distinct nutrient inputs along the south coast of Bahia State. Seawater and porewater samples were analysed for soluble reactive phosphorus, total oxidised nitrogen and reactive silica. Benthic surveys were performed at all sites to investigate the relationships between benthic community composition and nutrient and chlorophyll concentrations. Sampling was undertaken in dry and rainy seasons. Results of both seawater and porewater nutrient measurements revealed the occurrence of consistent spatial and temporal patterns. An inshore-offshore gradient reflects the occurrence of land-based point sources, with significant amount of nutrients being delivered by human activities on the coast (untreated sewage and groundwater seepage). Another spatial gradient is related to distance from a localized source of pollution (an urban settlement without sewerage treatment) with two nearshore reefs presenting distinct nutrient and chlorophyll concentrations. Seasonal variations suggest that submarine groundwater discharge (SGD) is the primary source of nutrients for the coastal reefs during rainy season. The data also suggests that the SGD effect is not restricted to nearshore reefs, and may be an important factor controlling the differences between landward and seaward sides on the offshore reef. Benthic community assessment revealed that turf alga is the dominant group in all studied reefs and that zoanthids are the organisms most adapted to take advantage of nutrient increase in coastal areas. At nearshore reefs, there was a negative correlation between zoanthids and algal abundance and a positive correlation with the amount of available space for settlement. On the offshore reef, correlation of algal cover with both zoanthids and available space were negative, suggesting that hard substrate may be the primary limiting factor for algal settlement and growth in the nearshore reefs. Highly variable physical disturbances (like wave energy and low tide exposure) between landward and seaward reef sides appear to be the factors controlling algal distribution in the offshore reef. Highly spatial variability in coral cover ultimately reflects the patchy distribution of stony corals over the reefs.

  11. Continuously-Variable Positive-Mesh Power Transmission

    NASA Technical Reports Server (NTRS)

    Johnson, J. L.

    1982-01-01

    Proposed transmission with continuously-variable speed ratio couples two mechanical trigonometric-function generators. Transmission is expected to handle higher loads than conventional variable-pulley drives; and, unlike variable pulley, positive traction through entire drive train with no reliance on friction to transmit power. Able to vary speed continuously through zero and into reverse. Possible applications in instrumentation where drive-train slippage cannot be tolerated.

  12. Preparing to predict: The Second Autonomous Ocean Sampling Network (AOSN-II) experiment in the Monterey Bay

    NASA Astrophysics Data System (ADS)

    Ramp, S. R.; Davis, R. E.; Leonard, N. E.; Shulman, I.; Chao, Y.; Robinson, A. R.; Marsden, J.; Lermusiaux, P. F. J.; Fratantoni, D. M.; Paduan, J. D.; Chavez, F. P.; Bahr, F. L.; Liang, S.; Leslie, W.; Li, Z.

    2009-02-01

    The Autonomous Ocean Sampling Network Phase Two (AOSN-II) experiment was conducted in and offshore from the Monterey Bay on the central California coast during July 23-September 6, 2003. The objective of the experiment was to learn how to apply new tools, technologies, and analysis techniques to adaptively sample the coastal ocean in a manner demonstrably superior to traditional methodologies, and to use the information gathered to improve predictive skill for quantities of interest to end-users. The scientific goal was to study the upwelling/relaxation cycle near an open coastal bay in an eastern boundary current region, particularly as it developed and spread from a coastal headland. The suite of observational tools used included a low-flying aircraft, a fleet of underwater gliders, including several under adaptive autonomous control, and propeller-driven AUVs in addition to moorings, ships, and other more traditional hardware. The data were delivered in real time and assimilated into the Harvard Ocean Prediction System (HOPS), the Navy Coastal Ocean Model (NCOM), and the Jet Propulsion Laboratory implementation of the Regional Ocean Modeling System (JPL/ROMS). Two upwelling events and one relaxation event were sampled during the experiment. The upwelling in both cases began when a pool of cold water less than 13 °C appeared near Cape Año Nuevo and subsequently spread offshore and southward across the bay as the equatorward wind stress continued. The primary difference between the events was that the first event spread offshore and southward, while the second event spread only southward and not offshore. The difference is attributed to the position and strength of meanders and eddies of the California Current System offshore, which blocked or steered the cold upwelled water. The space and time scales of the mesoscale variability were much shorter than have been previously observed in deep-water eddies offshore. Additional process studies are needed to elucidate the dynamics of the flow.

  13. Characterization of shallow ocean sediments using the airborne electromagnetic method

    NASA Technical Reports Server (NTRS)

    Won, I. J.; Smits, K.

    1986-01-01

    Experimental airborne electromagnetic (AEM) survey data collected in Cape Cod Bay are used to derive continuous profiles of water depth, electrical depth, water conductivity, and bottom sediment conductivity. Through a few well-known empirical relationships, the conductivities are used, in turn, to derive density, porosity, sound speed, and acoustic reflectivity of the ocean bottom. A commercially available Dighem III AEM system was used for the survey without any significant modification. The helicopter-borne system operated at 385 and 7200 Hz; both were in a horizontal coplanar configuration. The interpreted profiles show good agreement with available ground truth data. Where no such data are available, the results appear to be very reasonable. Compared with the shipborne electrode array method, the AEM method can determine the necessary parameters at a much higher speed with a better lateral resolution over a wide range of water depths from 0 to perhaps 100 m. The bottom sediment conductivity that can be measured by the AEM method is closely related to physical properties of sediments, such as porosity, density, sound speed, and, indirectly, sediment types that might carry broad implications for various offshore activities.

  14. Spool-type control valve assembly with reduced spool stroke for hydraulic belt-and-pulley type continuously variable transmission

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

    Itoh, H.; Akashi, T.; Takada, M.

    1987-03-31

    This patent describes a hydraulic control system for controlling a speed ratio of a hydraulically-operated continuously variable transmission of belt-and-pulley type having a variable-diameter pulley and a hydraulic cylinder for changing an effective diameter of the variable diameter-pulley of the transmission. The hydraulic control system includes a speed-ratio control valve assembly for controlling the supply and discharge of a pressurized fluid to and from the hydraulic cylinder to thereby change the speed ratio of the transmission. The speed-ratio control valve assembly comprises: a shift-direction switching valve unit disposed in fluid supply and discharge conduits communicating with the hydraulic cylinder, formore » controlling a direction in which the speed ratio of the transmission is varied; a shift-speed control valve unit of spool-valve type connected to the shift-direction switching valve unit. The shift-speed control valve unit is selectively placed in a first state in which the fluid supply and discharge flows to and from the hydraulic cylinder through the conduits are permitted, or in a second state in which the fluid supply flow is restricted while the fluid discharge flow is inhibited; an actuator means for placing the shift speed control valve unit alternately in the first and second states to control a rate of variation in the speed ratio of the transmission in the direction established by the shift-direction switching valve unit.« less

  15. The combined risk of extreme tropical cyclone winds and storm surges along the U.S. Gulf of Mexico Coast

    NASA Astrophysics Data System (ADS)

    Trepanier, J. C.; Yuan, J.; Jagger, T. H.

    2017-03-01

    Tropical cyclones, with their nearshore high wind speeds and deep storm surges, frequently strike the United States Gulf of Mexico coastline influencing millions of people and disrupting offshore economic activities. The combined risk of occurrence of tropical cyclone nearshore wind speeds and storm surges is assessed at 22 coastal cities throughout the United States Gulf of Mexico. The models used are extreme value copulas fitted with margins defined by the generalized Pareto distribution or combinations of Weibull, gamma, lognormal, or normal distributions. The statistical relationships between the nearshore wind speed and storm surge are provided for each coastal city prior to the copula model runs using Spearman's rank correlations. The strongest significant relationship between the nearshore wind speed and storm surge exists at Shell Beach, LA (ρ = 0.67), followed by South Padre Island, TX (ρ = 0.64). The extreme value Archimedean copula models for each city then provide return periods for specific nearshore wind speed and storm surge pairs. Of the 22 cities considered, Bay St. Louis, MS, has the shortest return period for a tropical cyclone with at least a 50 ms-1 nearshore wind speed and a 3 m surge (19.5 years, 17.1-23.5). The 90% confidence intervals are created by recalculating the return periods for a fixed set of wind speeds and surge levels using 100 samples of the model parameters. The results of this study can be utilized by policy managers and government officials concerned with coastal populations and economic activity in the Gulf of Mexico.

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

    NASA Astrophysics Data System (ADS)

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

    2016-07-01

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

  17. Characterization and variability of particle size distributions in Hudson Bay, Canada

    NASA Astrophysics Data System (ADS)

    Xi, Hongyan; Larouche, Pierre; Tang, Shilin; Michel, Christine

    2014-06-01

    Particle size distribution (PSD) plays a significant role in many aspects of aquatic ecosystems, including phytoplankton dynamics, sediment fluxes, and optical scattering from particulates. As of yet, little is known on the variability of particle size distribution in marine ecosystems. In this study, we investigated the PSD properties and variability in Hudson Bay based on measurements from a laser diffractometer (LISST-100X Type-B) in concert with biogeochemical parameters collected during summer 2010. Results show that most power-law fitted PSD slopes ranged from 2.5 to 4.5, covering nearly the entire range observed for natural waters. Offshore waters showed a predominance of smaller particles while near the coast, the effect of riverine inputs on PSD were apparent. Particulate inorganic matter contributed more to total suspended matter in coastal waters leading to lower PSD slopes than offshore. The depth distribution of PSD slopes shows that larger particles were associated with the pycnocline. Below the pycnocline, smaller particles dominated the spectra. A comparison between a PSD slope-based method to derive phytoplankton size class (PSC) and pigment-based derived PSC showed the two methods agreed relatively well. This study provides valuable baseline information on particle size properties and phytoplankton composition estimates in a sub-arctic environment subject to rapid environmental change.

  18. In Situ Observations of the Brazil-Malvinas Confluence in March 2015

    NASA Astrophysics Data System (ADS)

    Emelianov, M. V.; Pelegrí, J. L.; Isern-Fontanet, J.; Orue, D.; Ramirez, S.; Salvador, J.; Saraceno, M.; Valla, D.

    2016-02-01

    The Brazil-Malvinas Confluence (BMC) is the area where the Brazil and Malvinas Currents meet, respectively carrying waters of subtropical and subantarctic origin (Fig.1). As a result, the BMC plays a very important role in the meridional transfer of mass, heat, and salt, hence controlling the intensity of the returning limb of the Atlantic Meridional Overturning Circulation (AMOC). In this communication we describe the oceanographic conditions in the BMC region during March 2015, as sampled from the R/V Hespérides in the frame of the Spanish project "Tipping Corners in the AMOC" (CTM2011-28867). During the cruise we performed 66 hydrographic stations, and released 8 drifters and 9 floats (2 floats were recovered at the end of the cruise), in what turned out to be a high-resolution sampling of the frontal encountering of the Malvina and Brazil Currents and the resulting mesoscale and small-scale structures. The observations characterize the frontal collision of the two currents, each of them with speeds in excess of 1 m/s. This clashing creates a complex frontal system with very high horizontal gradients of physical and biochemical variables, certainly among the most intense open-ocean frontal systems in the world (e.g. cross-frontal gradients of temperature up to 1°C per kilometer). The frontal system is distinguished by thermohaline intrusions, eddies, filaments, and an offshore surface jet with speeds in excess of 2 m/s. Fig. 1. (Left) BMC with a schematic of the surface circulation pattern (Combes and Matano, J. Geophys. Res., 119, 731-756, 2014). (Right) Detail of the BMC for 20 March 2015, with the sea level altimetry (in color) and surface geostrophic velocity fields (vectors); the study area is located within the area bounded by the green dots.

  19. Migratory behavior of eastern North Pacific gray whales tracked using a hydrophone array

    PubMed Central

    Helble, Tyler A.; D’Spain, Gerald L.; Weller, David W.; Wiggins, Sean M.; Hildebrand, John A.

    2017-01-01

    Eastern North Pacific gray whales make one of the longest annual migrations of any mammal, traveling from their summer feeding areas in the Bering and Chukchi Seas to their wintering areas in the lagoons of Baja California, Mexico. Although a significant body of knowledge on gray whale biology and behavior exists, little is known about their vocal behavior while migrating. In this study, we used a sparse hydrophone array deployed offshore of central California to investigate how gray whales behave and use sound while migrating. We detected, localized, and tracked whales for one full migration season, a first for gray whales. We verified and localized 10,644 gray whale M3 calls and grouped them into 280 tracks. Results confirm that gray whales are acoustically active while migrating and their swimming and acoustic behavior changes on daily and seasonal time scales. The seasonal timing of the calls verifies the gray whale migration timing determined using other methods such as counts conducted by visual observers. The total number of calls and the percentage of calls that were part of a track changed significantly over both seasonal and daily time scales. An average calling rate of 5.7 calls/whale/day was observed, which is significantly greater than previously reported migration calling rates. We measured a mean speed of 1.6 m/s and quantified heading, direction, and water depth where tracks were located. Mean speed and water depth remained constant between night and day, but these quantities had greater variation at night. Gray whales produce M3 calls with a root mean square source level of 156.9 dB re 1 μPa at 1 m. Quantities describing call characteristics were variable and dependent on site-specific propagation characteristics. PMID:29084266

  20. Migratory behavior of eastern North Pacific gray whales tracked using a hydrophone array.

    PubMed

    Guazzo, Regina A; Helble, Tyler A; D'Spain, Gerald L; Weller, David W; Wiggins, Sean M; Hildebrand, John A

    2017-01-01

    Eastern North Pacific gray whales make one of the longest annual migrations of any mammal, traveling from their summer feeding areas in the Bering and Chukchi Seas to their wintering areas in the lagoons of Baja California, Mexico. Although a significant body of knowledge on gray whale biology and behavior exists, little is known about their vocal behavior while migrating. In this study, we used a sparse hydrophone array deployed offshore of central California to investigate how gray whales behave and use sound while migrating. We detected, localized, and tracked whales for one full migration season, a first for gray whales. We verified and localized 10,644 gray whale M3 calls and grouped them into 280 tracks. Results confirm that gray whales are acoustically active while migrating and their swimming and acoustic behavior changes on daily and seasonal time scales. The seasonal timing of the calls verifies the gray whale migration timing determined using other methods such as counts conducted by visual observers. The total number of calls and the percentage of calls that were part of a track changed significantly over both seasonal and daily time scales. An average calling rate of 5.7 calls/whale/day was observed, which is significantly greater than previously reported migration calling rates. We measured a mean speed of 1.6 m/s and quantified heading, direction, and water depth where tracks were located. Mean speed and water depth remained constant between night and day, but these quantities had greater variation at night. Gray whales produce M3 calls with a root mean square source level of 156.9 dB re 1 μPa at 1 m. Quantities describing call characteristics were variable and dependent on site-specific propagation characteristics.

  1. Bearing Fault Diagnosis under Variable Speed Using Convolutional Neural Networks and the Stochastic Diagonal Levenberg-Marquardt Algorithm

    PubMed Central

    Tra, Viet; Kim, Jaeyoung; Kim, Jong-Myon

    2017-01-01

    This paper presents a novel method for diagnosing incipient bearing defects under variable operating speeds using convolutional neural networks (CNNs) trained via the stochastic diagonal Levenberg-Marquardt (S-DLM) algorithm. The CNNs utilize the spectral energy maps (SEMs) of the acoustic emission (AE) signals as inputs and automatically learn the optimal features, which yield the best discriminative models for diagnosing incipient bearing defects under variable operating speeds. The SEMs are two-dimensional maps that show the distribution of energy across different bands of the AE spectrum. It is hypothesized that the variation of a bearing’s speed would not alter the overall shape of the AE spectrum rather, it may only scale and translate it. Thus, at different speeds, the same defect would yield SEMs that are scaled and shifted versions of each other. This hypothesis is confirmed by the experimental results, where CNNs trained using the S-DLM algorithm yield significantly better diagnostic performance under variable operating speeds compared to existing methods. In this work, the performance of different training algorithms is also evaluated to select the best training algorithm for the CNNs. The proposed method is used to diagnose both single and compound defects at six different operating speeds. PMID:29211025

  2. VARIABILITY OF PEAK SHOULDER FORCE DURING WHEELCHAIR PROPULSION IN MANUAL WHEELCHAIR USERS WITH AND WITHOUT SHOULDER PAIN

    PubMed Central

    Moon, Y.; Chandrasekaran, J.; Hsu, I.M.K.; Rice, I.M.; Hsiao-Wecksler, E.T.; Sosnoff, J.J.

    2013-01-01

    Background Manual wheelchair users report a high prevalence of shoulder pain. Growing evidence shows that variability in forces applied to biological tissue is related to musculoskeletal pain. The purpose of this study was to examine the variability of forces acting on the shoulder during wheelchair propulsion as a function of shoulder pain. Methods Twenty-four manual wheelchair users (13 with pain, 11 without pain) participated in the investigation. Kinetic and kinematic data of wheelchair propulsion were recorded for three minutes maintaining a constant speed at three distinct propulsion speeds (fast speed of 1.1 m/s, a self-selected speed, and a slow speed of 0.7 m/s). Peak resultant shoulder forces in the push phase were calculated using inverse dynamics. Within individual variability was quantified as the coefficient of variation of cycle to cycle peak resultant forces. Findings There was no difference in mean peak shoulder resultant force between groups. The pain group had significantly smaller variability of peak resultant force than the no pain group (p < 0.01, η2 = 0.18). Interpretation The observations raise the possibility that propulsion variability could be a novel marker of upper limb pain in manual wheelchair users. PMID:24210512

  3. Device for adapting continuously variable transmissions to infinitely variable transmissions with forward-neutral-reverse capabilities

    DOEpatents

    Wilkes, Donald F.; Purvis, James W.; Miller, A. Keith

    1997-01-01

    An infinitely variable transmission is capable of operating between a maximum speed in one direction and a minimum speed in an opposite direction, including a zero output angular velocity, while being supplied with energy at a constant angular velocity. Input energy is divided between a first power path carrying an orbital set of elements and a second path that includes a variable speed adjustment mechanism. The second power path also connects with the orbital set of elements in such a way as to vary the rate of angular rotation thereof. The combined effects of power from the first and second power paths are combined and delivered to an output element by the orbital element set. The transmission can be designed to operate over a preselected ratio of forward to reverse output speeds.

  4. Control of variable speed variable pitch wind turbine based on a disturbance observer

    NASA Astrophysics Data System (ADS)

    Ren, Haijun; Lei, Xin

    2017-11-01

    In this paper, a novel sliding mode controller based on disturbance observer (DOB) to optimize the efficiency of variable speed variable pitch (VSVP) wind turbine is developed and analyzed. Due to the highly nonlinearity of the VSVP system, the model is linearly processed to obtain the state space model of the system. Then, a conventional sliding mode controller is designed and a DOB is added to estimate wind speed. The proposed control strategy can successfully deal with the random nature of wind speed, the nonlinearity of VSVP system, the uncertainty of parameters and external disturbance. Via adding the observer to the sliding mode controller, it can greatly reduce the chattering produced by the sliding mode switching gain. The simulation results show that the proposed control system has the effectiveness and robustness.

  5. Reprint of Mechanisms of maintaining high suspended sediment concentration over tide-dominated offshore shoals in the southern Yellow Sea

    NASA Astrophysics Data System (ADS)

    Xiong, Jilian; Wang, Xiao Hua; Wang, Ya Ping; Chen, Jingdong; Shi, Benwei; Gao, Jianhua; Yang, Yang; Yu, Qian; Li, Mingliang; Yang, Lei; Gong, Xulong

    2018-06-01

    An understanding of the dynamics and behaviors of suspended sediments is vital in analysis of morphological, environmental, and ecological processes occurring in coastal marine environments. To study the mechanisms of maintaining high suspended sediment concentrations (SSCs) on a tide-dominated offshore shoal, we measured water depths, current velocities, SSCs, wave parameters and bottom sediment compositions in the southern Yellow Sea. These data were then used to calculate bottom shear stresses generated by currents (τc), waves (τw), and wave-current interactions (τcw). SSCs time series exhibited strong quarter-diurnal peaks during spring tides, in contrast to the semidiurnal signal during neap tides. A Fourier analysis showed that suspended sediment variations within tidal cycles was mainly controlled by resuspension in most stations. There existed relatively stable background SSCs (maintaining high SSCs among tidal cycles) values at all four stations during both windy (wind speed > 9.0 m/s) and normal weather conditions (wind speed < 3.0 m/s). The background SSCs had strong relationship with spring/neap-averaged τcw, indicating background SSCs were mainly controlled by mean bottom shear stress, with a minimum value of 0.21 N/m2. On account of the strong tidal currents, background SSCs of spring tides were greater than that of neap tides. In addition, on the base of wavelet, statistics analyses and turbulence dissipation parameter, background SSCs during slack tide in the study area may be maintained by intermittent turbulence events induced by a combined tidal current and wave action.

  6. Mechanisms of maintaining high suspended sediment concentration over tide-dominated offshore shoals in the southern Yellow Sea

    NASA Astrophysics Data System (ADS)

    Xiong, Jilian; Wang, Xiao Hua; Wang, Ya Ping; Chen, Jingdong; Shi, Benwei; Gao, Jianhua; Yang, Yang; Yu, Qian; Li, Mingliang; Yang, Lei; Gong, Xulong

    2017-05-01

    An understanding of the dynamics and behaviors of suspended sediments is vital in analysis of morphological, environmental, and ecological processes occurring in coastal marine environments. To study the mechanisms of maintaining high suspended sediment concentrations (SSCs) on a tide-dominated offshore shoal, we measured water depths, current velocities, SSCs, wave parameters and bottom sediment compositions in the southern Yellow Sea. These data were then used to calculate bottom shear stresses generated by currents (τc), waves (τw), and wave-current interactions (τcw). SSCs time series exhibited strong quarter-diurnal peaks during spring tides, in contrast to the semidiurnal signal during neap tides. A Fourier analysis showed that suspended sediment variations within tidal cycles was mainly controlled by resuspension in most stations. There existed relatively stable background SSCs (maintaining high SSCs among tidal cycles) values at all four stations during both windy (wind speed > 9.0 m/s) and normal weather conditions (wind speed < 3.0 m/s). The background SSCs had strong relationship with spring/neap-averaged τcw, indicating background SSCs were mainly controlled by mean bottom shear stress, with a minimum value of 0.21 N/m2. On account of the strong tidal currents, background SSCs of spring tides were greater than that of neap tides. In addition, on the base of wavelet, statistics analyses and turbulence dissipation parameter, background SSCs during slack tide in the study area may be maintained by intermittent turbulence events induced by a combined tidal current and wave action.

  7. Concepts for Variable/Multi-Speed Rotorcraft Drive System

    NASA Technical Reports Server (NTRS)

    Stevens, Mark A.; Handschuh, Robert F.; Lewicki, David G.

    2008-01-01

    In several recent studies and on-going developments for advanced rotorcraft, the need for variable or multi-speed capable rotors has been raised. A speed change of up to 50 percent has been proposed for future rotorcraft to improve overall vehicle performance. Accomplishing rotor speed changes during operation requires both a rotor that can perform effectively over the operation speed/load range, and a propulsion system that can enable these speed changes. A study has been completed to investigate possible drive system arrangements that can accommodate up to the 50 percent speed change. Several concepts will be presented and evaluated. The most promising configurations will be identified and developed for future testing in a sub-scaled test facility to validate operational capability.

  8. EU-Norsewind Using Envisat ASAR And Other Data For Offshore Wind Atlas

    NASA Astrophysics Data System (ADS)

    Hasager, Charlotte B.; Mouche, Alexis; Badger, Merete

    2010-04-01

    The EU project NORSEWIND - short for Northern Seas Wind Index Database - www.norsewind.eu has the aim to produce state-of-the-art wind atlas for the Baltic, Irish and North Seas using ground-based lidar, meteorological masts, satellite data and mesoscale modelling. So far CLS and Risø DTU have collected Envisat ASAR images for the area of interest and the first results: maps of wind statistics, Weibull scale and shape parameters, mean and energy density are presented. The results will be compared to a distributed network of high-quality in-situ observations and mesoscale model results during 2009-2011 as the in-situ data and model results become available. Wind energy is proportional with wind speed to the third power, thus even small improvements on wind speed mapping are important in this project. One challenge is to arrive at hub-height winds ~100 m above sea level.

  9. Radiosonde and satellite observations of topographic flow off the Norwegian coast

    NASA Astrophysics Data System (ADS)

    Rugaard Furevik, Birgitte; Dagestad, Knut-Frode; Olafsson, Haraldur

    2015-04-01

    Winds in Norway are strongly affected by the complex topography and in some areas the average wind speed in the fjords may exceed those on the coast. Such effects are revealed through a statistical analysis derived wind speed from ~8500 Synthetic Aperture Radar (SAR) scenes covering the Norwegian coast. We have compared the results with modelled winds from the operational atmosphere model at MET (horizontal grid spacing of 2.5km) and 3 years of measurements from "M/S Trollfjord", a ferry traversing a 2400km coastal route between the cities Bergen and Kirkenes. The analysis reveals many coastal details of the wind field not observed from the meteorological station network of Norway. The data set proves useful for verification of offshore winds in the model. High temporal resolution radiosonde winds from two locations are used to analyse the topographic effects.

  10. Wave energy resource of Brazil: An analysis from 35 years of ERA-Interim reanalysis data

    PubMed Central

    Araújo, Alex Maurício

    2017-01-01

    This paper presents a characterization of the wave power resource and an analysis of the wave power output for three (AquaBuoy, Pelamis and Wave Dragon) different wave energy converters (WEC) over the Brazilian offshore. To do so it used a 35 years reanalysis database from the ERA-Interim project. Annual and seasonal statistical analyzes of significant height and energy period were performed, and the directional variability of the incident waves were evaluated. The wave power resource was characterized in terms of the statistical parameters of mean, maximum, 95th percentile and standard deviation, and in terms of the temporal variability coefficients COV, SV e MV. From these analyses, the total annual wave power resource available over the Brazilian offshore was estimated in 89.97 GW, with largest mean wave power of 20.63 kW/m in the southernmost part of the study area. The analysis of the three WEC was based in the annual wave energy output and in the capacity factor. The higher capacity factor was 21.85% for Pelamis device at the southern region of the study area. PMID:28817731

  11. Wave energy resource of Brazil: An analysis from 35 years of ERA-Interim reanalysis data.

    PubMed

    Espindola, Rafael Luz; Araújo, Alex Maurício

    2017-01-01

    This paper presents a characterization of the wave power resource and an analysis of the wave power output for three (AquaBuoy, Pelamis and Wave Dragon) different wave energy converters (WEC) over the Brazilian offshore. To do so it used a 35 years reanalysis database from the ERA-Interim project. Annual and seasonal statistical analyzes of significant height and energy period were performed, and the directional variability of the incident waves were evaluated. The wave power resource was characterized in terms of the statistical parameters of mean, maximum, 95th percentile and standard deviation, and in terms of the temporal variability coefficients COV, SV e MV. From these analyses, the total annual wave power resource available over the Brazilian offshore was estimated in 89.97 GW, with largest mean wave power of 20.63 kW/m in the southernmost part of the study area. The analysis of the three WEC was based in the annual wave energy output and in the capacity factor. The higher capacity factor was 21.85% for Pelamis device at the southern region of the study area.

  12. Impact of Monsoon to Aquatic Productivity and Fish Landing at Pesawaran Regency Waters

    NASA Astrophysics Data System (ADS)

    Kunarso; Zainuri, Muhammad; Ario, Raden; Munandar, Bayu; Prayogi, Harmon

    2018-02-01

    Monsoon variability influences the productivity processes in the ocean and has different responses in each waters. Furthermore, variability of marine productivity affects to the fisheries resources fluctuation. This research has conducted using descriptive method to investigate the consequences of monsoon variability to aquatic productivity, sea surface temperature (SST), fish catches, and fish season periods at Pesawaran Regency waters, Lampung. Variability of aquatic productivity was determined based on chlorophyll-a indicator from MODIS satellite images. Monsoon variability was governed based on wind parameters and fish catches from fish landing data of Pesawaran fish market. The result showed that monsoon variability had affected to aquatic productivity, SST, and fish catches at Pesawaran Regency waters. Maximum wind speed and lowest SST occurred twice in a year, December to March and August to October, which the peaks were on January (2.55 m/s of wind speed and 29.66°C of SST) and September (2.44 m/s of wind speed and 29.06°C of SST). Also, Maximum aquatic productivity happened on January to March and July to September, which it was arisen simultaneously with maximum wind speed and the peaks was 0.74 mg/m3 and 0.78 mg/m3, on February and August respectively. The data showed that fish catches decreased along with strong wind speed and low SST. However, when weak wind speed and high SST occurred, fish catches increased. The correlation between Catch per Unit Effort (CPUE) with SST, wind speed, and chlorophyll-a was at value 0.76, -0.67, and -0.70, respectively. The high rate fish catches in Pesawaran emerged on March-May and September-December.

  13. Subtidal circulation on the Alabama shelf during the Deepwater Horizon oil spill

    NASA Astrophysics Data System (ADS)

    Dzwonkowski, Brian; Park, Kyeong

    2012-03-01

    Water column velocity and hydrographic measurements on the inner Alabama shelf are used to examine the flow field and its forcing dynamics during the Deepwater Horizon oil spill disaster in the spring and summer of 2010. Comparison between two sites provides insight into the flow variability and dynamics of a shallow, highly stratified shelf in the presence of complicating geographic and bathymetric features. Seasonal currents reveal a convergent flow with strong, highly sheared offshore flow near a submarine bank just outside of Mobile Bay. At synoptic time scales, the flow is relatively consistent with typical characteristics of wind-driven Ekman coastal circulation. Analysis of the depth-averaged along-shelf momentum balance indicates that both bottom stress and along-shelf pressure gradient act to counter wind stress. As a consequence of the along-shelf pressure gradient and thermal wind shear, flow reversals in the bottom currents can occur during periods of transitional winds. Despite the relatively short distance between the two sites (14 km), significant spatial variability is observed. This spatial variability is argued to be a result of local variations in the bathymetry and density field as the study region encompasses a submarine bank near the mouth of a major freshwater source. Given the physical parameters of the system, along-shelf flow in this region would be expected to separate from the local isobaths, generating a mean offshore flow. The local, highly variable density field is expected to be, in part, responsible for the differences in the vertical variability in the current profiles.

  14. Ecosystem variability in the offshore northeastern Chukchi Sea

    NASA Astrophysics Data System (ADS)

    Blanchard, Arny L.; Day, Robert H.; Gall, Adrian E.; Aerts, Lisanne A. M.; Delarue, Julien; Dobbins, Elizabeth L.; Hopcroft, Russell R.; Questel, Jennifer M.; Weingartner, Thomas J.; Wisdom, Sheyna S.

    2017-12-01

    Understanding influences of cumulative effects from multiple stressors in marine ecosystems requires an understanding of the sources for and scales of variability. A multidisciplinary ecosystem study in the offshore northeastern Chukchi Sea during 2008-2013 investigated the variability of the study area's two adjacent sub-ecosystems: a pelagic system influenced by interannual and/or seasonal temporal variation at large, oceanographic (regional) scales, and a benthic-associated system more influenced by small-scale spatial variations. Variability in zooplankton communities reflected interannual oceanographic differences in waters advected northward from the Bering Sea, whereas variation in benthic communities was associated with seafloor and bottom-water characteristics. Variations in the planktivorous seabird community were correlated with prey distributions, whereas interaction effects in ANOVA for walruses were related to declines of sea-ice. Long-term shifts in seabird distributions were also related to changes in sea-ice distributions that led to more open water. Although characteristics of the lower trophic-level animals within sub-ecosystems result from oceanographic variations and interactions with seafloor topography, distributions of apex predators were related to sea-ice as a feeding platform (walruses) or to its absence (i.e., open water) for feeding (seabirds). The stability of prey resources appears to be a key factor in mediating predator interactions with other ocean characteristics. Seabirds reliant on highly-variable zooplankton prey show long-term changes as open water increases, whereas walruses taking benthic prey in biomass hotspots respond to sea-ice changes in the short-term. A better understanding of how variability scales up from prey to predators and how prey resource stability (including how critical prey respond to environmental changes over space and time) might be altered by climate and anthropogenic stressors is essential to predicting the future state of both the Chukchi and other arctic systems.

  15. Genetic divergence between two phenotypically distinct bottlenose dolphin ecotypes suggests separate evolutionary trajectories.

    PubMed

    Fruet, Pedro F; Secchi, Eduardo R; Di Tullio, Juliana C; Simões-Lopes, Paulo César; Daura-Jorge, Fábio; Costa, Ana P B; Vermeulen, Els; Flores, Paulo A C; Genoves, Rodrigo Cezar; Laporta, Paula; Beheregaray, Luciano B; Möller, Luciana M

    2017-11-01

    Due to their worldwide distribution and occupancy of different types of environments, bottlenose dolphins display considerable morphological variation. Despite limited understanding about the taxonomic identity of such forms and connectivity among them at global scale, coastal (or inshore) and offshore (or oceanic) ecotypes have been widely recognized in several ocean regions. In the Southwest Atlantic Ocean (SWA), however, there are scarce records of bottlenose dolphins differing in external morphology according to habitat preferences that resemble the coastal-offshore pattern observed elsewhere. The main aim of this study was to analyze the genetic variability, and test for population structure between coastal ( n  = 127) and offshore ( n  = 45) bottlenose dolphins sampled in the SWA to assess whether their external morphological distinction is consistent with genetic differentiation. We used a combination of mtDNA control region sequences and microsatellite genotypes to infer population structure and levels of genetic diversity. Our results from both molecular marker types were congruent and revealed strong levels of structuring (microsatellites F ST  = 0.385, p  < .001; mtDNA F ST  =  0.183, p  < .001; Φ ST  = 0.385, p  < .001) and much lower genetic diversity in the coastal than the offshore ecotype, supporting patterns found in previous studies elsewhere. Despite the opportunity for gene flow in potential "contact zones", we found minimal current and historical connectivity between ecotypes, suggesting they are following discrete evolutionary trajectories. Based on our molecular findings, which seem to be consistent with morphological differentiations recently described for bottlenose dolphins in our study area, we recommend recognizing the offshore bottlenose dolphin ecotype as an additional Evolutionarily Significant Unit (ESU) in the SWA. Implications of these results for the conservation of bottlenose dolphins in SWA are also discussed.

  16. Riverine input of organic carbon and nitrogen in water-sediment system from the Yellow River estuary reach to the coastal zone of Bohai Sea, China

    NASA Astrophysics Data System (ADS)

    Wang, Chuanyuan; Lv, Yingchun; Li, Yuanwei

    2018-04-01

    The temporal-spatial distribution of the carbon and nitrogen contents and their isotopic compositions of suspended matter and sediments from the Yellow River estuary reach (YRER), the estuary to the offshore area were measured to identify the source of organic matter. The higher relative abundances of suspended and sedimentary carbon and nitrogen (POC, TOC, PN and TN) in the offshore marine area compared to those of the riverine and estuarine areas may be due to the cumulative and biological activity impact. The organic matter in surface sediments of YRER, the estuary and offshore area of Bohai Sea is basically the mixture of continental derived material and marine material. The values of δ13Csed fluctuate from values indicative of a land source (- 22.50‰ ± 0.31) to those indicative of a sea source (- 22.80‰ ± 0.38), which can be attributed to the fine particle size and decrease in terrigenous inputs to the offshore marine area. Contrary to the slight increase of POC and PN during the dry season, TOC and TN contents of the surface sediments during the flood season (October) were higher than those during the dry season (April). The seasonal differences in water discharge and suspended sediment discharge of the Yellow River Estuary may result in seasonal variability in TOC, POC, TN and PN concentrations in some degree. Overall, the surface sediments in the offshore area of Bohai Sea are dominated by marine derived organic carbon, which on average, accounts for 58-82% of TOC when a two end-member mixing model is applied to the isotopic data.

  17. Offshore multiphase meter nears acceptable accuracy level

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

    Gaisford, S.; Amdal, J.; Berentsen, H.

    1993-05-17

    Companies worldwide are looking for new production methods for offshore oil fields. In many areas, undeveloped smaller fields cannot bear the cost of dedicated production facilities. Multiphase transportation to existing production facilities can extend the distance over which unseparated oil, water, and gas streams can be transported, from a limit of several kilometers today to perhaps 200 km in the future. An encouraging multiphase meter test was sponsored by Saga Petroleum AS and carried out by Den norske stats oljeselskap AS (Statoil) on the Gullfaks B platform, Norwegian sector of the North Sea. The complete multiphase meter has two separatemore » meters. One is the composition meter for measuring the instantaneous volume or mass fractions of oil, water, and gas in the sensor. The other is a velocity meter for determining the speed of the mixture through the sensor. An instantaneous volume or mass production rate for each component is calculated by combining the outputs from the two meters. The paper describes the multiphase meter; measurements; limitations; the test setup; calibration; test results for the composition meter, velocity meter, and production rates; and future plans.« less

  18. Fine scale bio-physical oceanographic characteristics predict the foraging occurrence of contrasting seabird species; Gannet (Morus bassanus) and storm petrel (Hydrobates pelagicus)

    NASA Astrophysics Data System (ADS)

    Scott, B. E.; Webb, A.; Palmer, M. R.; Embling, C. B.; Sharples, J.

    2013-10-01

    As we begin to manage our oceans in much more spatial detail we must understand a great deal more about oceanographic habitat preferences of marine mobile top predators. In this unique field study we test a hypothesis on the mechanisms defining mobile predator foraging habitat characteristics by comparing temporally and spatially detailed bio-physical oceanographic data from contrasting topographical locations. We contrast the foraging locations of two very different seabird species, gannets and storm petrels, by repeatedly sampling a bank and a nearby flat area over daily tidal cycles during spring and neap tides. The results suggest that storm petrels are linked to foraging in specific locations where internal waves are produced, which is mainly on banks. These locations can also include the presence of high biomass of chlorophyll. In contrast, the location where more gannets are foraging is significantly influenced by temporal variables with higher densities of foraging birds much more likely during the neap tide than times of spring tide. The foraging times of both species was influenced by differences between the vertical layers of the water column above and below the thermocline; via either vertical shear of horizontal currents or absolute differences in speed between layers. Higher densities of foraging gannets were significantly more likely to be found at ebb tides in both bank and flat regions however over the bank, the density of foraging gannets was higher when the differences in speed between the layers were at a maximum. Both gannets and storm petrels appear to be more likely to forage when wind direction is opposed to tidal direction. This detailed understanding links foraging behaviour to predictable spatial and temporal bio-physical vertical characteristics and thus can be immediately used to explain variance and increase certainty in past abundance and distributional surveys. These results also illuminate the types of variables that should be considered when assessing potential changes to the distribution and characteristics of habitats from increased anthropogenic disturbances such as large scale offshore wind, wave and tidal renewable deployments.

  19. Seasonal variability of Internal tide energetics in the western Bay of Bengal

    NASA Astrophysics Data System (ADS)

    Mohanty, S.; Rao, A. D.

    2017-12-01

    The Internal Waves (IWs) are generated by the flow of barotropic tide over the rapidly varying and steep topographic features like continental shelf slope, seamounts, etc. These waves are an important phenomena in the ocean due to their influence on the density structure and energy transfer into the region. Such waves are also important in submarine acoustics, underwater navigation, offshore structures, ocean mixing and biogeochemical processes, etc. over the shelf-slope region. The seasonal variability of internal tides in the western Bay of Bengal is examined by using three-dimensional MITgcm model. The numerical simulations are performed for different periods covering August-September, 2013; November-December, 2013 and March-April, 2014 representing monsoon, post-monsoon and pre-monsoon seasons respectively during which high temporal resolution observed data sets are available. The model is initially validated through the spectral estimate of density and the baroclinic velocities. From the estimate, it is found that its peak is associated with the semi-diurnal frequency at all the depths in both observations and model simulations for November-December and March-April. However in August, the estimate is found to be maximum near the inertial frequency at all available depths. EOF analysis suggests that about 70-80% of the total variance comes from Mode-1 semi-diurnal internal tide in both observations as well as in the model simulations. The phase speed, group speed and wavelength are found to be maximum for post-monsoon season compared to other two seasons. To understand the generation and propagation of internal tides over this region, barotropic-to-baroclinic M2 tidal energy conversion and energy flux are examined. The barotropic-to-baroclinic conversion occurs intensively along the shelf-slope regions and propagate towards the coast. The model simulated energy dissipation rate infers that its maximum occurs at the generation sites and hence the local mixing due to internal tide is maximum at these sites. The spatial distribution of available potential energy is found to be maximum in November (20kg/m2) in northern BoB and minimum in August (14kg/m2). The detailed energy budget calculation are made for all the seasons and results are analysed.

  20. The experimental studies of operating modes of a diesel-generator set at variable speed

    NASA Astrophysics Data System (ADS)

    Obukhov, S. G.; Plotnikov, I. A.; Surkov, M. A.; Sumarokova, L. P.

    2017-02-01

    A diesel generator set working at variable speed to save fuel is studied. The results of experimental studies of the operating modes of an autonomous diesel generator set are presented. Areas for regulating operating modes are determined. It is demonstrated that the transfer of the diesel generator set to variable speed of the diesel engine makes it possible to improve the energy efficiency of the autonomous generator source, as well as the environmental and ergonomic performance of the equipment as compared with general industrial analogues.

  1. Wind speed variability over the Canary Islands, 1948-2014: focusing on trend differences at the land-ocean interface and below-above the trade-wind inversion layer

    NASA Astrophysics Data System (ADS)

    Azorin-Molina, Cesar; Menendez, Melisa; McVicar, Tim R.; Acevedo, Adrian; Vicente-Serrano, Sergio M.; Cuevas, Emilio; Minola, Lorenzo; Chen, Deliang

    2017-08-01

    This study simultaneously examines wind speed trends at the land-ocean interface, and below-above the trade-wind inversion layer in the Canary Islands and the surrounding Eastern North Atlantic Ocean: a key region for quantifying the variability of trade-winds and its response to large-scale atmospheric circulation changes. Two homogenized data sources are used: (1) observed wind speed from nine land-based stations (1981-2014), including one mountain weather station (Izaña) located above the trade-wind inversion layer; and (2) simulated wind speed from two atmospheric hindcasts over ocean (i.e., SeaWind I at 30 km for 1948-2014; and SeaWind II at 15 km for 1989-2014). The results revealed a widespread significant negative trend of trade-winds over ocean for 1948-2014, whereas no significant trends were detected for 1989-2014. For this recent period wind speed over land and ocean displayed the same multi-decadal variability and a distinct seasonal trend pattern with a strengthening (late spring and summer; significant in May and August) and weakening (winter-spring-autumn; significant in April and September) of trade-winds. Above the inversion layer at Izaña, we found a predominance of significant positive trends, indicating a decoupled variability and opposite wind speed trends when compared to those reported in boundary layer. The analysis of the Trade Wind Index (TWI), the North Atlantic Oscillation Index (NAOI) and the Eastern Atlantic Index (EAI) demonstrated significant correlations with the wind speed variability, revealing that the correlation patterns of the three indices showed a spatio-temporal complementarity in shaping wind speed trends across the Eastern North Atlantic.

  2. Wind speed variability over the Canary Islands, 1948-2014: focusing on trend differences at the land-ocean interface and below-above the trade-wind inversion layer

    NASA Astrophysics Data System (ADS)

    Azorin-Molina, Cesar; Menendez, Melisa; McVicar, Tim R.; Acevedo, Adrian; Vicente-Serrano, Sergio M.; Cuevas, Emilio; Minola, Lorenzo; Chen, Deliang

    2018-06-01

    This study simultaneously examines wind speed trends at the land-ocean interface, and below-above the trade-wind inversion layer in the Canary Islands and the surrounding Eastern North Atlantic Ocean: a key region for quantifying the variability of trade-winds and its response to large-scale atmospheric circulation changes. Two homogenized data sources are used: (1) observed wind speed from nine land-based stations (1981-2014), including one mountain weather station (Izaña) located above the trade-wind inversion layer; and (2) simulated wind speed from two atmospheric hindcasts over ocean (i.e., SeaWind I at 30 km for 1948-2014; and SeaWind II at 15 km for 1989-2014). The results revealed a widespread significant negative trend of trade-winds over ocean for 1948-2014, whereas no significant trends were detected for 1989-2014. For this recent period wind speed over land and ocean displayed the same multi-decadal variability and a distinct seasonal trend pattern with a strengthening (late spring and summer; significant in May and August) and weakening (winter-spring-autumn; significant in April and September) of trade-winds. Above the inversion layer at Izaña, we found a predominance of significant positive trends, indicating a decoupled variability and opposite wind speed trends when compared to those reported in boundary layer. The analysis of the Trade Wind Index (TWI), the North Atlantic Oscillation Index (NAOI) and the Eastern Atlantic Index (EAI) demonstrated significant correlations with the wind speed variability, revealing that the correlation patterns of the three indices showed a spatio-temporal complementarity in shaping wind speed trends across the Eastern North Atlantic.

  3. Fluid power network for centralized electricity generation in offshore wind farms

    NASA Astrophysics Data System (ADS)

    Jarquin-Laguna, A.

    2014-06-01

    An innovative and completely different wind-energy conversion system is studied where a centralized electricity generation within a wind farm is proposed by means of a hydraulic network. This paper presents the dynamic interaction of two turbines when they are coupled to the same hydraulic network. Due to the stochastic nature of the wind and wake interaction effects between turbines, the operating parameters (i.e. pitch angle, rotor speed) of each turbine are different. Time domain simulations, including the main turbine dynamics and laminar transient flow in pipelines, are used to evaluate the efficiency and rotor speed stability of the hydraulic system. It is shown that a passive control of the rotor speed, as proposed in previous work for a single hydraulic turbine, has strong limitations in terms of performance for more than one turbine coupled to the same hydraulic network. It is concluded that in order to connect several turbines, a passive control strategy of the rotor speed is not sufficient and a hydraulic network with constant pressure is suggested. However, a constant pressure network requires the addition of active control at the hydraulic motors and spear valves, increasing the complexity of the initial concept. Further work needs to be done to incorporate an active control strategy and evaluate the feasibility of the constant pressure hydraulic network.

  4. The interacting effect of cognitive and motor task demands on performance of gait, balance and cognition in young adults.

    PubMed

    Szturm, Tony; Maharjan, Pramila; Marotta, Jonathan J; Shay, Barbara; Shrestha, Shiva; Sakhalkar, Vedant

    2013-09-01

    Mobility limitations and cognitive impairments, each common with aging, reduce levels of physical and mental activity, are prognostic of future adverse health events, and are associated with an increased fall risk. The purpose of this study was to examine whether divided attention during walking at a constant speed would decrease locomotor rhythm, stability, and cognitive performance. Young healthy participants (n=20) performed a visuo-spatial cognitive task in sitting and while treadmill walking at 2 speeds (0.7 and 1.0 m/s).Treadmill speed had a significant effect on temporal gait variables and ML-COP excursion. Cognitive load did not have a significant effect on average temporal gait variables or COP excursion, but variation of gait variables increased during dual-task walking. ML and AP trunk motion was found to decrease during dual-task walking. There was a significant decrease in cognitive performance (success rate, response time and movement time) while walking, but no effect due to treadmill speed. In conclusion walking speed is an important variable to be controlled in studies that are designed to examine effects of concurrent cognitive tasks on locomotor rhythm, pacing and stability. Divided attention during walking at a constant speed did result in decreased performance of a visuo-spatial cognitive task and an increased variability in locomotor rhythm. Copyright © 2013 Elsevier B.V. All rights reserved.

  5. Wind Power predictability a risk factor in the design, construction and operation of Wind Generation Turbines

    NASA Astrophysics Data System (ADS)

    Thiesen, J.; Gulstad, L.; Ristic, I.; Maric, T.

    2010-09-01

    Summit: The wind power predictability is often a forgotten decision and planning factor for most major wind parks, both onshore and offshore. The results of the predictability are presented after having examined a number of European offshore and offshore parks power predictability by using three(3) mesoscale model IRIE_GFS and IRIE_EC and WRF. Full description: It is well known that the potential wind production is changing with latitude and complexity in terrain, but how big are the changes in the predictability and the economic impacts on a project? The concept of meteorological predictability has hitherto to some degree been neglected as a risk factor in the design, construction and operation of wind power plants. Wind power plants are generally built in places where the wind resources are high, but these are often also sites where the predictability of the wind and other weather parameters is comparatively low. This presentation addresses the question of whether higher predictability can outweigh lower average wind speeds with regard to the overall economy of a wind power project. Low predictability also tends to reduce the value of the energy produced. If it is difficult to forecast the wind on a site, it will also be difficult to predict the power production. This, in turn, leads to increased balance costs and a less reduced carbon emission from the renewable source. By investigating the output from three(3) mesoscale models IRIE and WRF, using ECMWF and GFS as boundary data over a forecasting period of 3 months for 25 offshore and onshore wind parks in Europe, the predictability are mapped. Three operational mesoscale models with two different boundary data have been chosen in order to eliminate the uncertainty with one mesoscale model. All mesoscale models are running in a 10 km horizontal resolution. The model output are converted into "day a head" wind turbine generation forecasts by using a well proven advanced physical wind power model. The power models are using a number of weather parameters like wind speed in different heights, friction velocity and DTHV. The 25 wind sites are scattered around in Europe and contains 4 offshore parks and 21 onshore parks in various terrain complexity. The "day a head" forecasts are compared with production data and predictability for the period February 2010-April 2010 are given in Mean Absolute Errors (MAE) and Root Mean Squared Errors (RMSE). The power predictability results are mapped for each turbine giving a clear picture of the predictability in Europe. . Finally a economic analysis are shown for each wind parks in different regimes of predictability will be compared with regard to the balance costs that result from errors in the wind power prediction. Analysis shows that it may very well be profitable to place wind parks in regions of lower, but more predictable wind ressource. Authors: Ivan Ristic, CTO Weather2Umberlla D.O.O Tomislav Maric, Meteorologist at Global Flow Solutions Vestas Wind Technology R&D Line Gulstad, Manager Global Flow Solutions Vestas Wind Technology R&D Jesper Thiesen, CEO ConWx ApS

  6. Variability in clubhead presentation characteristics and ball impact location for golfers' drives.

    PubMed

    Betzler, Nils F; Monk, Stuart A; Wallace, Eric S; Otto, Steve R

    2012-01-01

    The purpose of the present study was to analyse the variability in clubhead presentation to the ball and the resulting ball impact location on the club face for a range of golfers of different ability. A total of 285 male and female participants hit multiple shots using one of four proprietary drivers. Self-reported handicap was used to quantify a participant's golfing ability. A bespoke motion capture system and user-written algorithms was used to track the clubhead just before and at impact, measuring clubhead speed, clubhead orientation, and impact location. A Doppler radar was used to measure golf ball speed. Generally, golfers of higher skill (lower handicap) generated increased clubhead speed and increased efficiency (ratio of ball speed to clubhead speed). Non-parametric statistical tests showed that low-handicap golfers exhibit significantly lower variability from shot to shot in clubhead speed, efficiency, impact location, attack angle, club path, and face angle compared with high-handicap golfers.

  7. A Sequential Shifting Algorithm for Variable Rotor Speed Control

    NASA Technical Reports Server (NTRS)

    Litt, Jonathan S.; Edwards, Jason M.; DeCastro, Jonathan A.

    2007-01-01

    A proof of concept of a continuously variable rotor speed control methodology for rotorcraft is described. Variable rotor speed is desirable for several reasons including improved maneuverability, agility, and noise reduction. However, it has been difficult to implement because turboshaft engines are designed to operate within a narrow speed band, and a reliable drive train that can provide continuous power over a wide speed range does not exist. The new methodology proposed here is a sequential shifting control for twin-engine rotorcraft that coordinates the disengagement and engagement of the two turboshaft engines in such a way that the rotor speed may vary over a wide range, but the engines remain within their prescribed speed bands and provide continuous torque to the rotor; two multi-speed gearboxes facilitate the wide rotor speed variation. The shifting process begins when one engine slows down and disengages from the transmission by way of a standard freewheeling clutch mechanism; the other engine continues to apply torque to the rotor. Once one engine disengages, its gear shifts, the multi-speed gearbox output shaft speed resynchronizes and it re-engages. This process is then repeated with the other engine. By tailoring the sequential shifting, the rotor may perform large, rapid speed changes smoothly, as demonstrated in several examples. The emphasis of this effort is on the coordination and control aspects for proof of concept. The engines, rotor, and transmission are all simplified linear models, integrated to capture the basic dynamics of the problem.

  8. Match-to-match variability in high-speed running activity in a professional soccer team.

    PubMed

    Carling, Christopher; Bradley, Paul; McCall, Alan; Dupont, Gregory

    2016-12-01

    This study investigated variability in competitive high-speed running performance in an elite soccer team. A semi-automated tracking system quantified running performance in 12 players over a season (median 17 matches per player, 207 observations). Variability [coefficient of variation (CV)] was compared for total sprint distance (TSD, >25.2 km/h), high-speed running (HSR, 19.8-25.2 km/h), total high-speed running (THSR, ≥19.8 km/h); THSR when the team was in and out of ball possession, in individual ball possession, in the peak 5 min activity period; and distance run according to individual maximal aerobic speed (MAS). Variability for % declines in THSR and distance covered at ≥80% MAS across halves, at the end of play (final 15 min vs. mean for all 15 min periods) and transiently (5 min period following peak 5 min activity period), was analysed. Collectively, variability was higher for TSD versus HSR and THSR and lowest for distance run at ≥80% MAS (CVs: 37.1%, 18.1%, 19.8% and 11.8%). THSR CVs when the team was in/out of ball possession, in individual ball possession and during the peak 5 min period were 31.5%, 26.1%, 60.1% and 23.9%. Variability in THSR declines across halves, at the end of play and transiently, ranged from 37.1% to 142.6%, while lower CVs were observed in these metrics for running at ≥80% MAS (20.9-53.3%).These results cast doubt on the appropriateness of general measures of high-speed activity for determining variability in an elite soccer team, although individualisation of HSR thresholds according to fitness characteristics might provide more stable indicators of running performance and fatigue occurrence.

  9. Spatiotemporal variation of vertical particle fluxes and modelled chlorophyll a standing stocks in the Benguela Upwelling System

    NASA Astrophysics Data System (ADS)

    Vorrath, Maria-Elena; Lahajnar, Niko; Fischer, Gerhard; Libuku, Viktor Miti; Schmidt, Martin; Emeis, Kay-Christian

    2018-04-01

    Marine particle fluxes from high productive coastal upwelling systems return upwelled CO2 and nutrients to the deep ocean and sediments and have a substantial impact on the global carbon cycle. This study examines relations between production regimes on the shelf and over the continental margin of the Benguela Upwelling System (BUS) in the SE Atlantic Ocean. Data of composition and timing of vertical particle flux come from sediment trap time series (deployed intermittently between 1988 and 2014) in the regions Walvis Ridge, Walvis Bay, Luederitz and Orange River. We compare their seasonal variability to modelled patterns of chlorophyll concentrations in a 3-D ecosystem model. Both modelled seasonal chlorophyll a standing stocks and sampled particle flux patterns are highly correspondent with a bimodal seasonal cycle offshore the BUS. The material in the particle flux in offshore traps is dominantly carbonate (40-70%), and flux peaks in offshore particle flux originate from two independent events: in austral autumn thermocline shoaling and vertical mixing are decoupled from coastal upwelling, while fluxes in spring coincide with the upwelling season, indicated by slightly elevated biogenic opal values at some locations. Coastal particle fluxes are characterized by a trimodal pattern and are dominated by biogenic opal (22-35%) and organic matter (30-60%). The distinct seasonality in observed fluxes on the shelf is caused by high variability in production, sinking behaviour, wind stress, and hydrodynamic processes. We speculate that global warming will increase ocean stratification and alter coastal upwelling, so that consequences for primary production and particle flux in the BUS are inevitable.

  10. NREL`s variable speed test bed: Preliminary results

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

    Carlin, P.W.; Fingersh, L.J.; Fuchs, E.F.

    1996-10-01

    Under an NREL subcontract, the Electrical and Computer Engineering Department of the University of Colorado (CU) designed a 20-kilowatt, 12-pole, permanent-magnet, electric generator and associated custom power electronics modules. This system can supply power over a generator speed range from 60 to 120 RPM. The generator was fabricated and assembled by the Denver electric-motor manufacturer, Unique Mobility, and the power electronics modules were designed and fabricated at the University. The generator was installed on a 56-foot tower in the modified nacelle of a Grumman Windstream 33 wind turbine in early October 1995. For checkout it was immediately loaded directly intomore » a three-phase resistive load in which it produced 3.5 kilowatts of power. Abstract only included. The ten-meter Grumman host wind machine is equipped with untwisted, untapered, NREL series S809 blades. The machine was instrumented to record both mechanical hub power and electrical power delivered to the utility. Initial tests are focusing on validating the calculated power surface. This mathematical surface shows the wind machine power as a function of both wind speed and turbine rotor speed. Upon the completion of this task, maximum effort will be directed toward filling a test matrix in which variable-speed operation will be contrasted with constant-speed mode by switching the variable speed control algorithm with the baseline constant speed control algorithm at 10 minutes time intervals. Other quantities in the test matrix will be analyzed to detect variable speed-effects on structural loads and power quality.« less

  11. Speed control system for an access gate

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

    Bzorgi, Fariborz M

    2012-03-20

    An access control apparatus for an access gate. The access gate typically has a rotator that is configured to rotate around a rotator axis at a first variable speed in a forward direction. The access control apparatus may include a transmission that typically has an input element that is operatively connected to the rotator. The input element is generally configured to rotate at an input speed that is proportional to the first variable speed. The transmission typically also has an output element that has an output speed that is higher than the input speed. The input element and the outputmore » element may rotate around a common transmission axis. A retardation mechanism may be employed. The retardation mechanism is typically configured to rotate around a retardation mechanism axis. Generally the retardation mechanism is operatively connected to the output element of the transmission and is configured to retard motion of the access gate in the forward direction when the first variable speed is above a control-limit speed. In many embodiments the transmission axis and the retardation mechanism axis are substantially co-axial. Some embodiments include a freewheel/catch mechanism that has an input connection that is operatively connected to the rotator. The input connection may be configured to engage an output connection when the rotator is rotated at the first variable speed in a forward direction and configured for substantially unrestricted rotation when the rotator is rotated in a reverse direction opposite the forward direction. The input element of the transmission is typically operatively connected to the output connection of the freewheel/catch mechanism.« less

  12. The spinal control of locomotion and step-to-step variability in left-right symmetry from slow to moderate speeds

    PubMed Central

    Dambreville, Charline; Labarre, Audrey; Thibaudier, Yann; Hurteau, Marie-France

    2015-01-01

    When speed changes during locomotion, both temporal and spatial parameters of the pattern must adjust. Moreover, at slow speeds the step-to-step pattern becomes increasingly variable. The objectives of the present study were to assess if the spinal locomotor network adjusts both temporal and spatial parameters from slow to moderate stepping speeds and to determine if it contributes to step-to-step variability in left-right symmetry observed at slow speeds. To determine the role of the spinal locomotor network, the spinal cord of 6 adult cats was transected (spinalized) at low thoracic levels and the cats were trained to recover hindlimb locomotion. Cats were implanted with electrodes to chronically record electromyography (EMG) in several hindlimb muscles. Experiments began once a stable hindlimb locomotor pattern emerged. During experiments, EMG and bilateral video recordings were made during treadmill locomotion from 0.1 to 0.4 m/s in 0.05 m/s increments. Cycle and stance durations significantly decreased with increasing speed, whereas swing duration remained unaffected. Extensor burst duration significantly decreased with increasing speed, whereas sartorius burst duration remained unchanged. Stride length, step length, and the relative distance of the paw at stance offset significantly increased with increasing speed, whereas the relative distance at stance onset and both the temporal and spatial phasing between hindlimbs were unaffected. Both temporal and spatial step-to-step left-right asymmetry decreased with increasing speed. Therefore, the spinal cord is capable of adjusting both temporal and spatial parameters during treadmill locomotion, and it is responsible, at least in part, for the step-to-step variability in left-right symmetry observed at slow speeds. PMID:26084910

  13. Speed Variance and Its Influence on Accidents.

    ERIC Educational Resources Information Center

    Garber, Nicholas J.; Gadirau, Ravi

    A study was conducted to investigate the traffic engineering factors that influence speed variance and to determine to what extent speed variance affects accident rates. Detailed analyses were carried out to relate speed variance with posted speed limit, design speeds, and other traffic variables. The major factor identified was the difference…

  14. Rural variable speed limits : phase II.

    DOT National Transportation Integrated Search

    2012-05-01

    The Wyoming Department of Transportation (WYDOT) installed its first variable speed limit (VSL) corridor along : Interstate 80 in the Elk Mountain Corridor in the Spring of 2009 in an effort to improve safety and reduce road closures, : particularly ...

  15. Concentrations and cycling of DMS, DMSP, and DMSO in coastal and offshore waters of the Subarctic Pacific during summer, 2010-2011

    NASA Astrophysics Data System (ADS)

    Asher, Elizabeth; Dacey, John W.; Ianson, Debby; Peña, Angelica; Tortell, Philippe D.

    2017-04-01

    Concentrations of dimethylsulfide (DMS), measured in the Subarctic Pacific during summer 2010 and 2011, ranged from ˜1 to 40 nM, while dissolved dimethylsulfoxide (DMSO) concentrations (range 13-23 nM) exceeded those of dissolved dimethyl sulfoniopropionate (DMSP) (range 1.3-8.8 nM). Particulate DMSP dominated the reduced sulfur pool, reaching maximum concentrations of 100 nM. Coastal and off shore waters exhibited similar overall DMS concentration ranges, but sea-air DMS fluxes were lower in the oceanic waters due to lower wind speeds. Surface DMS concentrations showed statistically significant correlations with various hydrographic variables including the upwelling intensity (r2 = 0.52, p < 0.001) and the Chlorophyll a/mixed layer depth ratio (r2 = 0.52, p < 0.001), but these relationships provided little predictive power at small scales. Stable isotope tracer experiments indicated that the DMSP cleavage pathway always exceeded the DMSO reduction pathway as a DMS source, leading to at least 85% more DMS production in each experiment. Gross DMS production rates were positively correlated with the upwelling intensity, while net rates of DMS production were significantly correlated to surface water DMS concentrations. This latter result suggests that our measurements captured dominant processes driving surface DMS accumulation across a coastal-oceanic gradient.

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

    Jeffries, H P

    As a test of the hypothesis that fatty acid patterns of entire planktonic communities should be less variable and more predictable in offshore waters than estuarine habitats, monthly samples have been taken in Block Island Sound, Narragansett Bay, and Green Hill Pond (a brackish lagoon), R.I. Observations include physical environmental properties, standing crop estimates, and fatty acid distribution in two size fractions - phytoplankton-microzooplankton and zooplankton. A second hypothesis states that the annual sample trajectory of a zooplankton community displayed in biochemical(fatty acid) phase space is related to production, but only under certain circumstances. Samples were also taken along themore » major axes of Ria de Arosa and Ria de Muros y Noya, two deep embayments on the Atlantic coast of northern Spain. Results on the first hypothesis show that each system in the gradient of environmental severity behaves individually during the autumnal cooling period, when plankton production declines to annual minima. Spatial distribution of zooplankton in the two adjacent Spanish rias differ completely, both qualitatively and quantitatively. A comparison between the Spanish rias and the three US estuaries should reveal the basic nature of chemically defined stable domain in community structure. From these relations, the fate of communities subjected to either natural stressors or anthrogenic perturbation may be predicted with economy, speed, and objectivity.« less

  17. [Hypothesis on the equilibrium point and variability of amplitude, speed and time of single-joint movement].

    PubMed

    Latash, M; Gottleib, G

    1990-01-01

    Problems of single-joint movement variability are analysed in the framework of the equilibrium-point hypothesis (the lambda-model). Control of the movements is described with three parameters related to movement amplitude speed, and time. Three strategies emerge from this description. Only one of them is likely to lead to a Fitts' type speed-accuracy trade-off. Experiments were performed to test one of the predictions of the model. Subjects performed identical sets of single-joint fast movements with open or closed eyes and some-what different instructions. Movements performed with closed eyes were characterized with higher peak speeds and unchanged variability in seeming violation of the Fitt's law and in a good correspondence to the model.

  18. Fractal fluctuations in spatiotemporal variables when walking on a self-paced treadmill.

    PubMed

    Choi, Jin-Seung; Kang, Dong-Won; Seo, Jeong-Woo; Tack, Gye-Rae

    2017-12-08

    This study investigated the fractal dynamic properties of stride time (ST), stride length (SL) and stride speed (SS) during walking on a self-paced treadmill (STM) in which the belt speed is automatically controlled by the walking speed. Twelve healthy young subjects participated in the study. The subjects walked at their preferred walking speed under four conditions: STM, STM with a metronome (STM+met), fixed-speed (conventional) treadmill (FTM), and FTM with a metronome (FTM+met). To compare the fractal dynamics between conditions, the mean, variability, and fractal dynamics of ST, SL, and SS were compared. Moreover, the relationship among the variables was examined under each walking condition using three types of surrogates. The mean values of all variables did not differ between the two treadmills, and the variability of all variables was generally larger for STM than for FTM. The use of a metronome resulted in a decrease in variability in ST and SS for all conditions. The fractal dynamic characteristics of SS were maintained with STM, in contrast to FTM, and only the fractal dynamic characteristics of ST disappeared when using a metronome. In addition, the fractal dynamic patterns of the cross-correlated surrogate results were identical to those of all variables for the two treadmills. In terms of the fractal dynamic properties, STM walking was generally closer to overground walking than FTM walking. Although further research is needed, the present results will be useful in research on gait fractal dynamics and rehabilitation. Copyright © 2017 Elsevier Ltd. All rights reserved.

  19. Design of the ANTARES LCM-DAQ board test bench using a FPGA-based system-on-chip approach

    NASA Astrophysics Data System (ADS)

    Anvar, S.; Kestener, P.; Le Provost, H.

    2006-11-01

    The System-on-Chip (SoC) approach consists in using state-of-the-art FPGA devices with embedded RISC processor cores, high-speed differential LVDS links and ready-to-use multi-gigabit transceivers allowing development of compact systems with substantial number of IO channels. Required performances are obtained through a subtle separation of tasks between closely cooperating programmable hardware logic and user-friendly software environment. We report about our experience in using the SoC approach for designing the production test bench of the off-shore readout system for the ANTARES neutrino experiment.

  20. Evaluation of range and distortion tolerance for high Mach number transonic fan stages. Task 2: Performance of a 1500-foot-per-second tip speed transonic fan stage with variable geometry inlet guide vanes and stator

    NASA Technical Reports Server (NTRS)

    Bilwakesh, K. R.; Koch, C. C.; Prince, D. C.

    1972-01-01

    A 0.5 hub/tip radius ratio compressor stage consisting of a 1500 ft/sec tip speed rotor, a variable camber inlet guide vane and a variable stagger stator was designed and tested with undistorted inlet flow, flow with tip radial distortion, and flow with 90 degrees, one-per-rev, circumferential distortion. At the design speed and design IGV and stator setting the design stage pressure ratio was achieved at a weight within 1% of the design flow. Analytical results on rotor tip shock structure, deviation angle and part-span shroud losses at different operating conditions are presented. The variable geometry blading enabled efficient operation with adequate stall margin at the design condition and at 70% speed. Closing the inlet guide vanes to 40 degrees changed the speed-versus-weight flow relationship along the stall line and thus provided the flexibility of operation at off-design conditions. Inlet flow distortion caused considerable losses in peak efficiency, efficiency on a constant throttle line through design pressure ratio at design speed, stall pressure ratio, and stall margin at the 0 degrees IGV setting and high rotative speeds. The use of the 40 degrees inlet guide vane setting enabled partial recovery of the stall margin over the standard constant throttle line.

  1. Applications of variable speed control for contending with recurrent highway congestion.

    DOT National Transportation Integrated Search

    2014-07-01

    This research project developed vital operational guidelines for design of a variable speed limit (VSL) system and its integrated operations with ramp metering control in contending with recurrent highway congestion. The developed guidelines can serv...

  2. Variable speed generator technology options for wind turbine generators

    NASA Technical Reports Server (NTRS)

    Lipo, T. A.

    1995-01-01

    The electrical system options for variable speed operation of a wind turbine generator are treated in this paper. The key operating characteristics of each system are discussed and the major advantages and disadvantages of each are identified

  3. Variable/Multispeed Rotorcraft Drive System Concepts

    NASA Technical Reports Server (NTRS)

    Stevens, Mark A.; Handschuh, Robert F.; Lewicki, David G.

    2009-01-01

    Several recent studies for advanced rotorcraft have identified the need for variable, or multispeed-capable rotors. A speed change of up to 50 percent has been proposed for future rotorcraft to improve vehicle performance. Varying rotor speed during flight not only requires a rotor capable of performing effectively over the extended operation speed and load range, but also requires an advanced propulsion system to provide the required speed changes. A study has been completed, which investigated possible drive system arrangements to accommodate up to the 50 percent speed change. These concepts are presented. The most promising configurations are identified and will be developed for future validation testing.

  4. Comparison of Holocene marine paleoseismic records of two sectors of the Algerian margin: what's the reason for different responses from turbidites?

    NASA Astrophysics Data System (ADS)

    Cattaneo, Antonio; Babonneau, Nathalie; Ratzov, Gueorgui; Yelles, Karim; Bracène, Rabah; Bachir, Roza Si; Déverchere, Jacques

    2016-04-01

    The Algerian margin is at the slow convergence (~3mm/yr) of the African and European plates and it is affected by seismic activity linked to the presence of faults located in the coastal region and/or offshore. The historical seismicity record includes earthquakes located all along the margin from the west (1954 Orléansville M6.7; 1980 El Asnam M7.3), to the central area offshore Algiers (2003 Boumerdès M6.9, and also earthquakes of 1847, 1716 et 1365 AD), to the eastern area (two events offshore Djidjelli in 1856). Thanks to recent work on the signature of earthquakes in the deep offshore domain inferred from the analysis of successions of alternating turbidites and hemipelagites, the record of earthquakes could be extended back in time over most of the Holocene, at least in two analysed sectors offshore Kramis and Algiers. Offshore Kramis, thirteen coastal paleoquakes over the last 8 ka support clusters of 3 to 6 events with mean recurrence intervals of ˜300-600 years, separated by two periods of quiescence of ˜1.7 ka without major events on any fault. They imply alternation of broad phases of strain loading and shorter phases of strain release along the fault network (Ratzov et al., 2015). Offshore Algiers, thirty-six events are identified along the Algiers margin segment over the last 9 kyr and are tentatively interpreted as seismically triggered, including the historical events of 2003, 1716 and 1365 AD. The recurrence interval of events varies from 50 to 900 years with three quiescence periods of 800, 1400 and 500 years (7-6.2 ka BP, 5.4-4 ka BP, and 1.5-1 ka BP), supporting an irregular earthquake cyclicity. Overall, the marine paleosesimicity record of the two study areas appears rather different. In particular, slope failures offshore Algiers could occur more frequently because of the proximity of lower magnitude earthquakes, explaining the high occurrence of turbiditic events, while the recurring interval of stronger earthquakes could be more easily comparable in the two margin sectors. Other possible explanations include: i) difference in the tectonic behavior of distinct margin sectors; (ii) temporal and spatial variability in sedimentary processes, possibly due to changes in sediment availability; (iii) different distance of the seismic sources from the areas of sediment destabilisation on the continental slope. Ref. 
Ratzov et al. (2015) Geology 43,4,331-334.

  5. Variable current speed controller for eddy current motors

    DOEpatents

    Gerth, H.L.; Bailey, J.M.; Casstevens, J.M.; Dixon, J.H.; Griffith, B.O.; Igou, R.E.

    1982-03-12

    A speed control system for eddy current motors is provided in which the current to the motor from a constant frequency power source is varied by comparing the actual motor speed signal with a setpoint speed signal to control the motor speed according to the selected setpoint speed. A three-phase variable voltage autotransformer is provided for controlling the voltage from a three-phase power supply. A corresponding plurality of current control resistors is provided in series with each phase of the autotransformer output connected to inputs of a three-phase motor. Each resistor is connected in parallel with a set of normally closed contacts of plurality of relays which are operated by control logic. A logic circuit compares the selected speed with the actual motor speed obtained from a digital tachometer monitoring the motor spindle speed and operated the relays to add or substract resistance equally in each phase of the motor input to vary the motor current to control the motor at the selected speed.

  6. On the Effect of Offshore Wind Parks on Ocean Dynamics

    NASA Astrophysics Data System (ADS)

    Ludewig, E.; Pohlmann, T.

    2012-12-01

    Nowadays renewable energy resources play a key role in the energy supply discussion and especially an increasingly interest in wind energy induces intensified installations of wind parks. At this offshore wind energy gains in popularity in the course of higher and more consistent energy availability than over land. For example Germany's government adopted a national interurban offshore wind energy program comprising the construction of hundreds of wind turbines within Germany's Exclusive Economic Zone to ensure up to 50% of Germany's renewable energy supply. The large number of installation in coastal regions asks for analyzing the impact of offshore wind parks (OWPs) on the atmosphere and the ocean. As known from literature such wind parks excite also-called wake-effect and such an influence on the wind field in turn affects ocean circulation. To cover OWP's impact on ocean dynamics we evaluate model simulations using the Hamburg Shelf-Ocean-Model (HAMSOM). All simulations were driven with a wind forcing produced by the Mesoscale Atmosphere Model of the Hamburg University (METRAS) which has implemented wind turbines. Wind forcing data were generated in collaboration with and by courtesy of the Meteorological Institute of the University of Hamburg, Department Technical Meteorology, Numeric Modeling-METRAS. To evaluate dynamical changes forced by the OWP's wind wake-effect we did a sensitivity study with a theoretical setup of a virtual ocean of 60m depth with a flat bottom and a temperature and salinity stratification according to common North Sea's conditions. Here our results show that already a small OWP of 12 wind turbines, placed in an area of 4 km^2, lead to a complex change in ocean dynamics. Due to the wake-effect zones of upwelling and downwelling are formed within a minute after turning-on wind turbines. The evolving vertical cells have a size of around 15x15 kilometers with a vertical velocity in order of 10^-2 mm/sec influencing the dynamic of an area being hundred times bigger than the wind park itself. The emerged vertical structure is generated due to a newly created geostrophic balance resulting in a redistribution of the ocean mass field. A number of additional upwelling and downwelling cells around the wind park support an intensified vertical dispersion through all layers and incline the thermocline which also influences the lower levels. The disturbances of mass show a dipole structure across the main wind direction with a maximum change in thermocline depth of some meters close to the OWP. Diffusion, mostly driven by direct wind induced surface shear is also modified by the wind turbines and supports a further modification of the vertical patterns. Considering that wind turbines operate only in a special window of wind speed, i.e. wind turbines will stop in case of too weak or too strong wind speeds as well as in case of technical issues, the averaged dimension and intensity of occurring vertical cells depend on the number of rotors and expected wind speeds. Finally we will focus on scenario runs for the North Sea under fully realistic conditions to estimate possible changes in ocean dynamics due to OWPs in future and these results will be further used for process analyzes of the ecosystem. If we assume a continuous operation of North Sea's OWPs in future we expect a fundamental constant change in ocean dynamics and moreover in the ecosystem in its vicinity.

  7. Within-person variability in response speed as an indicator of cognitive impairment in older adults.

    PubMed

    Strauss, Esther; Bielak, Allison A M; Bunce, David; Hunter, Michael A; Hultsch, David F

    2007-11-01

    Within-person variability may be an important indicator of central nervous system compromise. In this study, within-person variability in response speed was examined in community-dwelling older adults, ages 64-92 years, using a new framework that takes into account both the extent (single versus multiple domains affected) and nature (amnestic versus non-amnestic) of the cognitive impairment. Those with multiple domains of impairment were more variable than those who showed an isolated area of impairment, regardless of whether memory was one of the domains affected. Further, for those with difficulties in two or more non-memory domains, increased variability was most evident in more cognitively demanding situations, when individuals had to manipulate information held briefly in mind, switch cognitive set or inhibit an automatic response. Finally, group differentiation was better achieved when within-person variability as opposed to mean speed of performance was considered.

  8. Examples of variable speed limit applications : speed management workshop

    DOT National Transportation Integrated Search

    2000-01-09

    VSL systems are a type of Intelligent Transportation System (ITS) that utilizes traffic : speed and volume detection, weather information, and road surface condition technology to determine appropriate speeds at which drivers should be traveling, giv...

  9. Fuzzy Variable Speed Limit Device Modification and Testing - Phase II

    DOT National Transportation Integrated Search

    2001-07-01

    In a previous project, Northern Arizona University (NAU) and the Arizona Department of Transportation (ADOT) designed and implemented the prototype of a variable speed limit (VSL) system for rural highways. The VSL system implements a real-time fuzzy...

  10. Forcing and variability of nonstationary rip currents

    USGS Publications Warehouse

    Long, Joseph W.; H.T. Özkan-Haller,

    2016-01-01

    Surface wave transformation and the resulting nearshore circulation along a section of coast with strong alongshore bathymetric gradients outside the surf zone are modeled for a consecutive 4 week time period. The modeled hydrodynamics are compared to in situ measurements of waves and currents collected during the Nearshore Canyon Experiment and indicate that for the entire range of observed conditions, the model performance is similar to other studies along this stretch of coast. Strong alongshore wave height gradients generate rip currents that are observed by remote sensing data and predicted qualitatively well by the numerical model. Previous studies at this site have used idealized scenarios to link the rip current locations to undulations in the offshore bathymetry but do not explain the dichotomy between permanent offshore bathymetric features and intermittent rip current development. Model results from the month‐long simulation are used to track the formation and location of rip currents using hourly statistics, and results show that the direction of the incoming wave energy strongly controls whether rip currents form. In particular, most of the offshore wave spectra were bimodal and we find that the ratio of energy contained in each mode dictates rip current development, and the alongshore rip current position is controlled by the incident wave period. Additionally, model simulations performed with and without updating the nearshore morphology yield no significant change in the accuracy of the predicted surf zone hydrodyanmics indicating that the large‐scale offshore features (e.g., submarine canyon) predominately control the nearshore wave‐circulation system.

  11. Environmental Impact of Offshore Gas Activities on the Benthic Environment: A Case Study

    NASA Astrophysics Data System (ADS)

    Punzo, E.; Gomiero, A.; Tassetti, A. N.; Strafella, P.; Santelli, A.; Salvalaggio, V.; Spagnolo, A.; Scarcella, G.; De Biasi, A. M.; Kozinkova, L.; Fabi, G.

    2017-08-01

    Multidisciplinary monitoring of the impact of offshore gas platforms on northern and central Adriatic marine ecosystems has been conducted since 1998. Beginning in 2006, 4-5 year investigations spanning the period before, during, and after rig installation have explored the effects of its construction and presence on macrozoobenthic communities, sediment, water quality, pollutant bioaccumulation, and fish assemblages. In this study, sediment samples collected at increasing distance from an offshore gas platform before, during and after its construction were subjected to chemical analysis and assessment of benthic communities. Ecological indices were calculated to evaluate the ecological status of the area. Ecotoxicological analysis of sediment was performed to establish whether pollutants are transferred to biota. The study applied a before-after control-impact design to assess the effects of rig construction and presence and provide reference data on the possible impacts of any further expansion of the gas extraction industry in the already heavily exploited Adriatic Sea. Only some of the metals investigated (barium, chromium, cadmium, and zinc) showed a different spatial and/or temporal distribution that may be platform-related. In the early phases, the sediment concentrations of polycyclic aromatic hydrocarbons were below the detection limit at all sites; they then became detectable, but without significant spatial differences. The present findings suggest that the environmental effects of offshore gas platforms may be difficult to quantify, interpret, and generalize, because they are influenced by numerous, often local, abiotic, and biotic variables in different and unpredictable ways.

  12. Environmental Impact of Offshore Gas Activities on the Benthic Environment: A Case Study.

    PubMed

    Punzo, E; Gomiero, A; Tassetti, A N; Strafella, P; Santelli, A; Salvalaggio, V; Spagnolo, A; Scarcella, G; De Biasi, A M; Kozinkova, L; Fabi, G

    2017-08-01

    Multidisciplinary monitoring of the impact of offshore gas platforms on northern and central Adriatic marine ecosystems has been conducted since 1998. Beginning in 2006, 4-5 year investigations spanning the period before, during, and after rig installation have explored the effects of its construction and presence on macrozoobenthic communities, sediment, water quality, pollutant bioaccumulation, and fish assemblages. In this study, sediment samples collected at increasing distance from an offshore gas platform before, during and after its construction were subjected to chemical analysis and assessment of benthic communities. Ecological indices were calculated to evaluate the ecological status of the area. Ecotoxicological analysis of sediment was performed to establish whether pollutants are transferred to biota. The study applied a before-after control-impact design to assess the effects of rig construction and presence and provide reference data on the possible impacts of any further expansion of the gas extraction industry in the already heavily exploited Adriatic Sea. Only some of the metals investigated (barium, chromium, cadmium, and zinc) showed a different spatial and/or temporal distribution that may be platform-related. In the early phases, the sediment concentrations of polycyclic aromatic hydrocarbons were below the detection limit at all sites; they then became detectable, but without significant spatial differences. The present findings suggest that the environmental effects of offshore gas platforms may be difficult to quantify, interpret, and generalize, because they are influenced by numerous, often local, abiotic, and biotic variables in different and unpredictable ways.

  13. Temporal trends of perfluoroalkyl substances (PFAS) in eggs of coastal and offshore birds: Increasing PFAS levels associated with offshore bird species breeding on the Pacific coast of Canada and wintering near Asia.

    PubMed

    Miller, Aroha; Elliott, John E; Elliott, Kyle H; Lee, Sandi; Cyr, Francois

    2015-08-01

    Perfluoroalkyl substances (PFAS) such as perfluoroalkyl carboxylates (PFCAs) and perfluoroalkyl sulfonates (PFSAs) have become virtually ubiquitous throughout the environment, and, based on laboratory studies, have known toxicological consequences. Various national and international voluntary phase-outs and restrictions on these compounds have been implemented over the last 10 to 15 years. In the present study, we examine trends (1990/1991-2010/2011) in aquatic birds (ancient murrelet, Synthliboramphus antiquus [2009 only]; Leach's storm-petrels, Oceanodroma leucorhoa; rhinoceros auklets, Cerorhinca monocerata; double-crested cormorants, Phalacrocorax auritus; and great blue herons, Ardea herodias). The PFCA, PFSA, and stable isotope (δ(15) N and δ(13) C) data collected from these species from the Pacific coast of Canada, ranging over 20 to 30 years, were used to investigate temporal changes in PFAS coupled to dietary changes. Perfluorooctane sulfonic acid (PFOS), the dominant PFSA compound in all 4 species, increased and subsequently decreased in auklet and cormorant eggs in line with the manufacturing phase-out of PFOS and perfluorooctanoic acid (PFOA), but concentrations continuously increased in petrel eggs and remained largely unchanged in heron eggs. Dominant PFCA compounds varied between the offshore and coastal species, with increases seen in the offshore species and little or variable changes seen in the coastal species. Little temporal change was seen in stable isotope values, indicating that diet alone is not driving observed PFAS concentrations. © 2015 SETAC.

  14. Unmatched speed perceptions between overground and treadmill manual wheelchair propulsion in long-term manual wheelchair users.

    PubMed

    Chénier, Félix; Champagne, Audrey; Desroches, Guillaume; Gagnon, Dany H

    2018-03-01

    Manual wheelchair (MWC) propulsion is increasingly assessed on a motorized treadmill (TM), which is often considered more ecologically valid than stationary rollers. However, no clear consensus on the similarities between overground (OG) and TM propulsion has yet been reached. Furthermore, no study has investigated the participants' perceptions of propelling a MWC on a TM compared to OG. The present study aims to assess the perception of speed when propelling on a TM vs OG, and to relate this perception to measured spatiotemporal variables, kinetics and work. In this repeated-measures study, the propulsion's spatiotemporal variables, kinetics, and work of nineteen experienced wheelchair users with a spinal cord injury were compared between three conditions: 1) OG at a self-selected speed, 2) on a TM at a self-selected speed perceived as being similar to the OG speed (TM perceived ), and 3) on a TM at the same speed as OG (TM matched ). Each variable was compared between conditions using an analysis of variance for repeated measures. All participants selected a lower speed for TM perceived than OG, with a difference of -0.6 m/s (-44%). This adaptation may be due to a combination of two factors: 1) the absence of speed information, and 2) the feeling of urgency to grab the wheels during the recovery phase. The power output, work per cycle, and work per minute were also much lower on TM perceived than OG. However, in contrast to other work on MWC propulsion on a TM, the kinetic variables assessed were all similar between the OG and TM matched conditions. Training on a TM should be performed at a speed that matches the OG speed and not at a self-selected speed on the TM, which would reduce the power output and work and therefore reduce the efficiency of the training. Copyright © 2018 Elsevier B.V. All rights reserved.

  15. Power Smoothing and MPPT for Grid-connected Wind Power Generation with Doubly Fed Induction Generator

    NASA Astrophysics Data System (ADS)

    Kai, Takaaki; Tanaka, Yuji; Kaneda, Hirotoshi; Kobayashi, Daichi; Tanaka, Akio

    Recently, doubly fed induction generator (DFIG) and synchronous generator are mostly applied for wind power generation, and variable speed control and power factor control are executed for high efficiently for wind energy capture and high quality for power system voltage. In variable speed control, a wind speed or a generator speed is used for maximum power point tracking. However, performances of a wind generation power fluctuation due to wind speed variation have not yet investigated for those controls. The authors discuss power smoothing by those controls for the DFIG inter-connected to 6.6kV distribution line. The performances are verified using power system simulation software PSCAD/EMTDC for actual wind speed data and are examined from an approximate equation of wind generation power fluctuation for wind speed variation.

  16. Development of Permanent Magnet Reluctance Motor Suitable for Variable-Speed Drive for Electric Vehicle

    NASA Astrophysics Data System (ADS)

    Sakai, Kazuto; Takahashi, Norio; Shimomura, Eiji; Arata, Masanobu; Nakazawa, Yousuke; Tajima, Toshinobu

    Regarding environmental and energy issues, increasing importance has been placed on energy saving in various systems. To save energy, it would be desirable if the total efficiency of various types of equipment were increased.Recently, a hybrid electric vehicle (HEV) and an electric vehicle (EV) have been developed. The use of new technologies will eventually lead to the realization of the new- generation vehicle with high efficiency. One new technology is the variable-speed drive over a wide range of speeds. The motor driving systems of the EV or the HEV must operate in the variable-speed range of up to 1:5. This has created the need for a high-efficiency motor that is capable of operation over a wide speed range. In this paper, we describe the concept of a novel permanent magnet reluctance motor (PRM) and discuss its characteristics. We developed the PRM, which has the capability of operating over a wide speed range with high efficiency. The PRM has a rotor with a salient pole, which generates magnetic anisotropy. In addition, the permanent magnets embedded in the rotor core counter the q-axis flux by the armature reaction. Then, the power density and the power factor increase. The PRM produces reluctance torque and torque by permanent magnet (PM) flux. The reluctance torque is 1 to 2 times larger than the PM torque. When the PRM operates over a constant-power speed range, the field component of the current will be regulated to maintain a constant voltage. The output power of the developed PRM is 8 to 250kW. It is clarified that the PRM operates at a wide variable-speed range (1:5) with high efficiency (92-97%). It is concluded that the PRM has high performance over a wide constant-power speed range. In addition, the PRM is constructed using a small PM, so that we can solve the problem of cost. Thus, the PRM is a superior machine that is suited for variable-speed drive applications.

  17. Relationship Between Motor Variability, Accuracy, and Ball Speed in the Tennis Serve

    PubMed Central

    Antúnez, Ruperto Menayo; Hernández, Francisco Javier Moreno; García, Juan Pedro Fuentes; Vaíllo, Raúl Reina; Arroyo, Jesús Sebastián Damas

    2012-01-01

    The main objective of this study was to analyze the motor variability in the performance of the tennis serve and its relationship to performance outcome. Seventeen male tennis players took part in the research, and they performed 20 serves. Linear and non-linear variability during the hand movement was measured by 3D Motion Tracking. Ball speed was recorded with a sports radar gun and the ball bounces were video recorded to calculate accuracy. The results showed a relationship between the amount of variability and its non-linear structure found in performance of movement and the outcome of the serve. The study also found that movement predictability correlates with performance. An increase in the amount of movement variability could affect the tennis serve performance in a negative way by reducing speed and accuracy of the ball. PMID:23486998

  18. Lidar arc scan uncertainty reduction through scanning geometry optimization

    NASA Astrophysics Data System (ADS)

    Wang, Hui; Barthelmie, Rebecca J.; Pryor, Sara C.; Brown, Gareth.

    2016-04-01

    Doppler lidars are frequently operated in a mode referred to as arc scans, wherein the lidar beam scans across a sector with a fixed elevation angle and the resulting measurements are used to derive an estimate of the n minute horizontal mean wind velocity (speed and direction). Previous studies have shown that the uncertainty in the measured wind speed originates from turbulent wind fluctuations and depends on the scan geometry (the arc span and the arc orientation). This paper is designed to provide guidance on optimal scan geometries for two key applications in the wind energy industry: wind turbine power performance analysis and annual energy production prediction. We present a quantitative analysis of the retrieved wind speed uncertainty derived using a theoretical model with the assumption of isotropic and frozen turbulence, and observations from three sites that are onshore with flat terrain, onshore with complex terrain and offshore, respectively. The results from both the theoretical model and observations show that the uncertainty is scaled with the turbulence intensity such that the relative standard error on the 10 min mean wind speed is about 30 % of the turbulence intensity. The uncertainty in both retrieved wind speeds and derived wind energy production estimates can be reduced by aligning lidar beams with the dominant wind direction, increasing the arc span and lowering the number of beams per arc scan. Large arc spans should be used at sites with high turbulence intensity and/or large wind direction variation.

  19. Lidar arc scan uncertainty reduction through scanning geometry optimization

    NASA Astrophysics Data System (ADS)

    Wang, H.; Barthelmie, R. J.; Pryor, S. C.; Brown, G.

    2015-10-01

    Doppler lidars are frequently operated in a mode referred to as arc scans, wherein the lidar beam scans across a sector with a fixed elevation angle and the resulting measurements are used to derive an estimate of the n minute horizontal mean wind velocity (speed and direction). Previous studies have shown that the uncertainty in the measured wind speed originates from turbulent wind fluctuations and depends on the scan geometry (the arc span and the arc orientation). This paper is designed to provide guidance on optimal scan geometries for two key applications in the wind energy industry: wind turbine power performance analysis and annual energy production. We present a quantitative analysis of the retrieved wind speed uncertainty derived using a theoretical model with the assumption of isotropic and frozen turbulence, and observations from three sites that are onshore with flat terrain, onshore with complex terrain and offshore, respectively. The results from both the theoretical model and observations show that the uncertainty is scaled with the turbulence intensity such that the relative standard error on the 10 min mean wind speed is about 30 % of the turbulence intensity. The uncertainty in both retrieved wind speeds and derived wind energy production estimates can be reduced by aligning lidar beams with the dominant wind direction, increasing the arc span and lowering the number of beams per arc scan. Large arc spans should be used at sites with high turbulence intensity and/or large wind direction variation when arc scans are used for wind resource assessment.

  20. A Lyapunov based approach to energy maximization in renewable energy technologies

    NASA Astrophysics Data System (ADS)

    Iyasere, Erhun

    This dissertation describes the design and implementation of Lyapunov-based control strategies for the maximization of the power captured by renewable energy harnessing technologies such as (i) a variable speed, variable pitch wind turbine, (ii) a variable speed wind turbine coupled to a doubly fed induction generator, and (iii) a solar power generating system charging a constant voltage battery. First, a torque control strategy is presented to maximize wind energy captured in variable speed, variable pitch wind turbines at low to medium wind speeds. The proposed strategy applies control torque to the wind turbine pitch and rotor subsystems to simultaneously control the blade pitch and tip speed ratio, via the rotor angular speed, to an optimum point at which the capture efficiency is maximum. The control method allows for aerodynamic rotor power maximization without exact knowledge of the wind turbine model. A series of numerical results show that the wind turbine can be controlled to achieve maximum energy capture. Next, a control strategy is proposed to maximize the wind energy captured in a variable speed wind turbine, with an internal induction generator, at low to medium wind speeds. The proposed strategy controls the tip speed ratio, via the rotor angular speed, to an optimum point at which the efficiency constant (or power coefficient) is maximal for a particular blade pitch angle and wind speed by using the generator rotor voltage as a control input. This control method allows for aerodynamic rotor power maximization without exact wind turbine model knowledge. Representative numerical results demonstrate that the wind turbine can be controlled to achieve near maximum energy capture. Finally, a power system consisting of a photovoltaic (PV) array panel, dc-to-dc switching converter, charging a battery is considered wherein the environmental conditions are time-varying. A backstepping PWM controller is developed to maximize the power of the solar generating system. The controller tracks a desired array voltage, designed online using an incremental conductance extremum-seeking algorithm, by varying the duty cycle of the switching converter. The stability of the control algorithm is demonstrated by means of Lyapunov analysis. Representative numerical results demonstrate that the grid power system can be controlled to track the maximum power point of the photovoltaic array panel in varying atmospheric conditions. Additionally, the performance of the proposed strategy is compared to the typical maximum power point tracking (MPPT) method of perturb and observe (P&O), where the converter dynamics are ignored, and is shown to yield better results.

  1. Low-speed aerodynamic test of an axisymmetric supersonic inlet with variable cowl slot

    NASA Technical Reports Server (NTRS)

    Powell, A. G.; Welge, H. R.; Trefny, C. J.

    1985-01-01

    The experimental low-speed aerodynamic characteristics of an axisymmetric mixed-compression supersonic inlet with variable cowl slot are described. The model consisted of the NASA P-inlet centerbody and redesigned cowl with variable cowl slot powered by the JT8D single-stage fan simulator and driven by an air turbine. The model was tested in the NASA Lewis Research Center 9- by 15-foot low-speed tunnel at Mach numbers of 0, 0.1, and 0.2 over a range of flows, cowl slot openings, centerbody positions, and angles of attack. The variable cowl slot was effective in minimizing lip separation at high velocity ratios, showed good steady-state and dynamic distortion characteristics, and had good angle-of-attack tolerance.

  2. Computational Assessment of the Aerodynamic Performance of a Variable-Speed Power Turbine for Large Civil Tilt-Rotor Application

    NASA Technical Reports Server (NTRS)

    Welch, Gerard E.

    2011-01-01

    The main rotors of the NASA Large Civil Tilt-Rotor notional vehicle operate over a wide speed-range, from 100% at take-off to 54% at cruise. The variable-speed power turbine offers one approach by which to effect this speed variation. Key aero-challenges include high work factors at cruise and wide (40 to 60 deg.) incidence variations in blade and vane rows over the speed range. The turbine design approach must optimize cruise efficiency and minimize off-design penalties at take-off. The accuracy of the off-design incidence loss model is therefore critical to the turbine design. In this effort, 3-D computational analyses are used to assess the variation of turbine efficiency with speed change. The conceptual design of a 4-stage variable-speed power turbine for the Large Civil Tilt-Rotor application is first established at the meanline level. The design of 2-D airfoil sections and resulting 3-D blade and vane rows is documented. Three-dimensional Reynolds Averaged Navier-Stokes computations are used to assess the design and off-design performance of an embedded 1.5-stage portion-Rotor 1, Stator 2, and Rotor 2-of the turbine. The 3-D computational results yield the same efficiency versus speed trends predicted by meanline analyses, supporting the design choice to execute the turbine design at the cruise operating speed.

  3. Modeling investigation of the nutrient and phytoplankton variability in the Chesapeake Bay outflow plume

    NASA Astrophysics Data System (ADS)

    Jiang, Long; Xia, Meng

    2018-03-01

    The Chesapeake Bay outflow plume (CBOP) is the mixing zone between Chesapeake Bay and less eutrophic continental shelf waters. Variations in phytoplankton distribution in the CBOP are critical to the fish nursery habitat quality and ecosystem health; thus, an existing hydrodynamic-biogeochemical model for the bay and the adjacent coastal ocean was applied to understand the nutrient and phytoplankton variability in the plume and the dominant environmental drivers. The simulated nutrient and chlorophyll a distribution agreed well with field data and real-time satellite imagery. Based on the model calculation, the net dissolved inorganic nitrogen (DIN) and phosphorus (DIP) flux at the bay mouth was seaward and landward during 2003-2012, respectively. The CBOP was mostly nitrogen-limited because of the relatively low estuarine DIN export. The highest simulated phytoplankton biomass generally occurred in spring in the near field of the plume. Streamflow variations could regulate the estuarine residence time, and thus modulate nutrient export and phytoplankton biomass in the plume area; in comparison, changing nutrient loading with fixed streamflow had a less extensive impact, especially in the offshore and far-field regions. Correlation analyses and numerical experiments revealed that southerly winds on the shelf were effective in promoting the offshore plume expansion and phytoplankton accumulation. Climate change including precipitation and wind pattern shifts is likely to complicate the driving mechanisms of phytoplankton variability in the plume region.

  4. Applying multibeam sonar and mathematical modeling for mapping seabed substrate and biota of offshore shallows

    NASA Astrophysics Data System (ADS)

    Herkül, Kristjan; Peterson, Anneliis; Paekivi, Sander

    2017-06-01

    Both basic science and marine spatial planning are in a need of high resolution spatially continuous data on seabed habitats and biota. As conventional point-wise sampling is unable to cover large spatial extents in high detail, it must be supplemented with remote sensing and modeling in order to fulfill the scientific and management needs. The combined use of in situ sampling, sonar scanning, and mathematical modeling is becoming the main method for mapping both abiotic and biotic seabed features. Further development and testing of the methods in varying locations and environmental settings is essential for moving towards unified and generally accepted methodology. To fill the relevant research gap in the Baltic Sea, we used multibeam sonar and mathematical modeling methods - generalized additive models (GAM) and random forest (RF) - together with underwater video to map seabed substrate and epibenthos of offshore shallows. In addition to testing the general applicability of the proposed complex of techniques, the predictive power of different sonar-based variables and modeling algorithms were tested. Mean depth, followed by mean backscatter, were the most influential variables in most of the models. Generally, mean values of sonar-based variables had higher predictive power than their standard deviations. The predictive accuracy of RF was higher than that of GAM. To conclude, we found the method to be feasible and with predictive accuracy similar to previous studies of sonar-based mapping.

  5. Variability in the Speed of the Brewer-Dobson Circulation as Observed by Aura/MLS

    NASA Technical Reports Server (NTRS)

    Flury, Thomas; Wu, Dong L.; Read, W. G.

    2013-01-01

    We use Aura/MLS stratospheric water vapour (H2O) measurements as tracer for dynamics and infer interannual variations in the speed of the Brewer-Dobson circulation (BDC) from 2004 to 2011. We correlate one-year time series of H2O in the lower stratosphere at two subsequent pressure levels (68 hPa, approx.18.8 km and 56 hPa, approx 19.9 km at the Equator) and determine the time lag for best correlation. The same calculation is made on the horizontal on the 100 hPa (approx 16.6 km) level by correlating the H2O time series at the Equator with the ones at 40 N and 40 S. From these lag coefficients we derive the vertical and horizontal speeds of the BDC in the tropics and extra-tropics, respectively. We observe a clear interannual variability of the vertical and horizontal branch. The variability reflects signatures of the Quasi Biennial Oscillation (QBO). Our measurements confirm the QBO meridional circulation anomalies and show that the speed variations in the two branches of the BDC are out of phase and fairly well anti-correlated. Maximum ascent rates are found during the QBO easterly phase. We also find that transport of H2O towards the Northern Hemisphere (NH) is on the average two times faster than to the Southern Hemisphere (SH) with a mean speed of 1.15m/s at 100 hPa. Furthermore, the speed towards the NH shows much more interannual variability with an amplitude of about 21% whilst the speed towards the SH varies by only 10 %. An amplitude of 21% is also observed in the variability of the ascent rate at the Equator which is on the average 0.2mm/s.

  6. Variable-speed controller provides flexibility to electrical submersible pumps

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

    Butlin, D.

    1986-06-09

    The performance of an electric submersible pump (ESP) is dramatically modified by a variable speed controller (VSC). Variable frequency power directly controls pump speed and thus the hydraulic performance of the pump. Even though the ESP is the primary form of artificial lift for high volume, deep oil wells (particularly where gas is unavailable), the biggest disadvantage has been the pump's inflexibility when run at a constant speed, i.e., the unit is limited to a fixed head output at each rate. The VSC has rapidly gained acceptance as a valuable ESP accessory to alleviate this restriction. By allowing the pumpmore » speed to be varied, the rate and head, or both, can be adjusted with no modification of the downhole unit. There are now over 700 VSCs running with ESPs on every continent of the world. Pumping flexibility was the main purpose of applying the VSC to the ESP, but several other benefits have become apparent. Of particular interest are those that can extend downhole equipment life, e.g., soft start, automatically controlled speed, line-transient suppression, and elimination of surface chokes.« less

  7. Response of water temperatures and stratification to changing climate in three lakes with different morphometry

    NASA Astrophysics Data System (ADS)

    Magee, Madeline R.; Wu, Chin H.

    2017-12-01

    Water temperatures and stratification are important drivers for ecological and water quality processes within lake systems, and changes in these with increases in air temperature and changes to wind speeds may have significant ecological consequences. To properly manage these systems under changing climate, it is important to understand the effects of increasing air temperatures and wind speed changes in lakes of different depths and surface areas. In this study, we simulate three lakes that vary in depth and surface area to elucidate the effects of the observed increasing air temperatures and decreasing wind speeds on lake thermal variables (water temperature, stratification dates, strength of stratification, and surface heat fluxes) over a century (1911-2014). For all three lakes, simulations showed that epilimnetic temperatures increased, hypolimnetic temperatures decreased, the length of the stratified season increased due to earlier stratification onset and later fall overturn, stability increased, and longwave and sensible heat fluxes at the surface increased. Overall, lake depth influences the presence of stratification, Schmidt stability, and differences in surface heat flux, while lake surface area influences differences in hypolimnion temperature, hypolimnetic heating, variability of Schmidt stability, and stratification onset and fall overturn dates. Larger surface area lakes have greater wind mixing due to increased surface momentum. Climate perturbations indicate that our larger study lakes have more variability in temperature and stratification variables than the smaller lakes, and this variability increases with larger wind speeds. For all study lakes, Pearson correlations and climate perturbation scenarios indicate that wind speed has a large effect on temperature and stratification variables, sometimes greater than changes in air temperature, and wind can act to either amplify or mitigate the effect of warmer air temperatures on lake thermal structure depending on the direction of local wind speed changes.

  8. Quasi-Rayleigh waves in butt-welded thick steel plate

    NASA Astrophysics Data System (ADS)

    Kamas, Tuncay; Giurgiutiu, Victor; Lin, Bin

    2015-03-01

    This paper discusses theoretical and experimental analyses of weld guided surface acoustic waves (SAW) through the guided wave propagation (GWP) analyses. The GWP analyses have been carried out by utilizing piezoelectric wafer active sensors (PWAS) for in situ structural inspection of a thick steel plate with butt weld as the weld bead is ground flush. Ultrasonic techniques are commonly used for validation of welded structures in many in-situ monitoring applications, e.g. in off-shore structures, in nuclear and pressure vessel industries and in a range of naval applications. PWAS is recently employed in such ultrasonic applications as a resonator as well as a transducer. Quasi-Rayleigh waves a.k.a. SAW can be generated in relatively thick isotropic elastic plate having the same phase velocity as Rayleigh waves whereas Rayleigh waves are a high frequency approximation of the first symmetric (S0) and anti-symmetric (A0) Lamb wave modes. As the frequency becomes very high the S0 and the A0 wave speeds coalesce, and both have the same value. This value is exactly the Rayleigh wave speed and becomes constant along the frequency i.e. Rayleigh waves are non-dispersive guided surface acoustic waves. The study is followed with weld-GWP tests through the pitch-catch method along the butt weld line. The tuning curves of quasi-Rayleigh wave are determined to show the tuning and trapping effect of the weld bead that has higher thickness than the adjacent plates on producing a dominant quasi-Rayleigh wave mode. The significant usage of the weld tuned and guided quasi-Rayleigh wave mode is essentially discussed for the applications in the in-situ inspection of relatively thick structures with butt weld such as naval offshore structures. The paper ends with summary, conclusions and suggestions for future work.

  9. Simulation of river plume behaviors in a tropical region: Case study of the Upper Gulf of Thailand

    NASA Astrophysics Data System (ADS)

    Yu, Xiaojie; Guo, Xinyu; Morimoto, Akihiko; Buranapratheprat, Anukul

    2018-02-01

    River plumes are a general phenomenon in coastal regions. Most previous studies focus on river plumes in middle and high latitudes with few studies examining those in low latitude regions. Here, we apply a numerical model to the Upper Gulf of Thailand (UGoT) to examine a river plume in low latitudes. Consistent with observational data, the modeled plume has seasonal variation dependent on monsoon conditions. During southwesterly monsoons, the plume extends northeastward to the head of the gulf; during northeasterly monsoons, it extends southwestward to the mouth of the gulf. To examine the effects of latitude, wind and river discharge on the river plume, we designed several numerical experiments. Using a middle latitude for the UGoT, the bulge close to the river mouth becomes smaller, the downstream current flows closer to the coast, and the salinity in the northern UGoT becomes lower. The reduction in the size of the bulge is consistent with the relationship between the offshore distance of a bulge and the Coriolis parameter. Momentum balance of the coastal current is maintained by advection, the Coriolis force, pressure gradient and internal stresses in both low and middle latitudes, with the Coriolis force and pressure gradient enlarged in the middle latitude. The larger pressure gradient in the middle latitude is induced by more offshore freshwater flowing with the coastal current, which induces lower salinity. The influence of wind on the river plume not only has the advection effects of changing the surface current direction and increasing the surface current speed, but also decreases the current speed due to enhanced vertical mixing. Changes in river discharge influence stratification in the UGoT but have little effect on the behavior of the river plume.

  10. Modeled and Observed Transitions Between Rip Currents and Alongshore Flows

    NASA Astrophysics Data System (ADS)

    Moulton, M.; Elgar, S.; Warner, J. C.; Raubenheimer, B.

    2014-12-01

    Predictions of rip currents, alongshore currents, and the temporal transitions between these circulation patterns are important for swimmer safety and for estimating the transport of sediments, biota, and pollutants in the nearshore. Here, field observations are combined with hydrodynamic modeling to determine the dominant processes that lead rip currents to turn on and off with changing waves, bathymetry, and tidal elevation. Waves, currents, mean sea levels, and bathymetry were measured near and within five shore-perpendicular channels (on average 2-m deep, 30-m wide) that were dredged with the propellers of a landing craft at different times on a long straight Atlantic Ocean beach near Duck, NC in summer 2012. The circulation was measured for a range of incident wave conditions and channel sizes, and included rapid transitions between strong (0.5 to 1 m/s) rip current jets flowing offshore through the channels and alongshore currents flowing across the channels with no rip currents. Meandering alongshore currents (alongshore currents combined with an offshore jet at the downstream edge of the channel) also were observed. Circulation patterns near and within idealized rip channels simulated with COAWST (a three-dimensional phase-averaged model that couples ROMS and SWAN) are compared with the observations. In addition, the model is used to investigate the hydrodynamic response to a range of wave conditions (angle, height, period) and bathymetries (channel width, depth, and length; tidal elevations; shape of sandbar or terrace). Rip current speeds are largest for the deepest perturbations, and decrease as incident wave angles become more oblique. For obliquely incident waves, the rip currents are shifted in the direction of the alongshore flow, with an increasing shift for increasing alongshore current speed or increasing bathymetric perturbation depth.

  11. Spatial variations in δ13C and δ15N values of primary consumers in a coastal lagoon

    NASA Astrophysics Data System (ADS)

    Como, S.; Magni, P.; Van Der Velde, G.; Blok, F. S.; Van De Steeg, M. F. M.

    2012-12-01

    The analysis of the contribution of a food source to a consumer's diet or the trophic position of a consumer is highly sensitive to the variability of the isotopic values used as input data. However, little is known in coastal lagoons about the spatial variations in the isotopic values of primary consumers considered 'end members' in the isotope mixing models for quantifying the diet of secondary consumers or as a baseline for estimating the trophic position of consumers higher up in the food web. We studied the spatial variations in the δ13C and δ15N values of primary consumers and sedimentary organic matter (SOM) within a selected area of the Cabras lagoon (Sardinia, Italy). Our aim was to assess how much of the spatial variation in isotopic values of primary consumers was due to the spatial variability between sites and how much was due to differences in short distances from the shore. Samples were collected at four stations (50-100 m apart) selected randomly at two sites (1.5-2 km apart) chosen randomly at two distances from the shore (i.e. in proximity of the shore -Nearshore - and about 200 m away from the shore -Offshore). The sampling was repeated in March, May and August 2006 using new sites at the two chosen distances from the shore on each date. The isotopic values of size-fractionated seston and macrophytes were also analyzed as a complementary characterization of the study area. While δ15N did not show any spatial variations, the δ13C values of deposit feeders, Alitta (=Neanthes) succinea, Lekanesphaera hookeri, Hydrobia acuta and Gammarus aequicauda, were more depleted Offshore than Nearshore. For these species, there were significant effects of distance or distance × dates in the mean δ13C values, irrespective of the intrinsic variation between sites. SOM showed similar spatial variations in δ13C values, with Nearshore-Offshore differences up to 6‰. This indicates that the spatial isotopic changes are transferred from the food sources to the deposit feeders studied. In contrast, δ13C and δ15N values of suspension feeders, Ficopomatus enigmaticus and Amphibalanus amphitrite, did not show major variations, either between sites, or between Nearshore and Offshore. These different patterns between deposit feeders and suspension feeders are probably due to a weaker trophic link of the latter with SOM. We suggest that the Nearshore-Offshore gradient might be an important source of isotopic variation that needs to be considered in future web studies in coastal lagoons.

  12. Recolonization and possible recovery of burrowing mayflies (Ephemeroptera: Ephemeridae: Hexagenia spp.) in Lake Erie of the Laurentian Great Lakes

    USGS Publications Warehouse

    Schloesser, Don W.; Krieger, Kenneth A.; Ciborowski, Jan J.H.; Corkum, Lynda D.

    2000-01-01

    Burrowing mayflies of the genus Hexagenia spp. were widely distributed (ca. 80% of sites) and abundant (ca. 160 nymphs/m2) in the western basin of Lake Erie of the Laurentian Great Lakes in 1929–1930, prior to a period of anoxia in the mid 1950s. Nymphs were absent or rare in the basin between 1961 and 1973–1975. In 1979–1991, nymphs were infrequently found (13–46% of sites) in low abundance (3–40 nymphs/m2) near shore (<7.5 km from shore), but were absent or rare offshore (0–7% of sites at 0–1 nymphs/m2). Increased abundance occurred offshore between 1991 (0% of sites) and 1993 (52% of sites at 7/m2). Annual sampling, beginning in 1995, indicates that nymphs increased in both nearshore and offshore waters. By 1997, nymphs were found throughout the lake (88% of sites) at a mean density 40-fold greater (392/m2) than that observed in 1993 (11/m2). In 1998, the distribution of nymphs remained the same as 1997 (88% of sites) but density declined 3-fold (392 to 134/m2). These data indicate that mayflies have recolonized sediments of western Lake Erie and that their abundance may be similar to levels observed before their disappearance in the mid 1950s. However, prior to the mid 1950s, densities were greater in offshore than nearshore waters, but between 1979 and 1998 greater densities occurred near shore than offshore. In addition, there were two areas in the 1990s where low densities consistently occurred. Therefore, recovery of nymphs in western Lake Erie may not have been complete in 1998. At present we do not know the cause for the sudden recolonization of nymphs in large portions of western Lake Erie. Undoubtedly, pollution-abatement programs contributed to improved conditions that would have ultimately led to mayfly recovery in the future. However, the explosive growth of the exotic zebra mussel, Dreissena polymorpha, undoubtedly diverted plankton foods to bottom substrates which could have increased the speed at which Hexagenia spp. nymphs recolonized sediments in western Lake Erie in the 1990s.

  13. Airfoil family design for large offshore wind turbine blades

    NASA Astrophysics Data System (ADS)

    Méndez, B.; Munduate, X.; San Miguel, U.

    2014-06-01

    Wind turbine blades size has scaled-up during last years due to wind turbine platform increase especially for offshore applications. The EOLIA project 2007-2010 (Spanish Goverment funded project) was focused on the design of large offshore wind turbines for deep waters. The project was managed by ACCIONA Energia and the wind turbine technology was designed by ACCIONA Windpower. The project included the design of a wind turbine airfoil family especially conceived for large offshore wind turbine blades, in the order of 5MW machine. Large offshore wind turbines suffer high extreme loads due to their size, in addition the lack of noise restrictions allow higher tip speeds. Consequently, the airfoils presented in this work are designed for high Reynolds numbers with the main goal of reducing blade loads and mantainig power production. The new airfoil family was designed in collaboration with CENER (Spanish National Renewable Energy Centre). The airfoil family was designed using a evolutionary algorithm based optimization tool with different objectives, both aerodynamic and structural, coupled with an airfoil geometry generation tool. Force coefficients of the designed airfoil were obtained using the panel code XFOIL in which the boundary layer/inviscid flow coupling is ineracted via surface transpiration model. The desing methodology includes a novel technique to define the objective functions based on normalizing the functions using weight parameters created from data of airfoils used as reference. Four airfoils have been designed, here three of them will be presented, with relative thickness of 18%, 21%, 25%, which have been verified with the in-house CFD code, Wind Multi Block WMB, and later validated with wind tunnel experiments. Some of the objectives for the designed airfoils concern the aerodynamic behavior (high efficiency and lift, high tangential coefficient, insensitivity to rough conditions, etc.), others concern the geometry (good for structural design, compatibility for the different airfoil family members, etc.) and with the ultimate objective that the airfoils will reduce the blade loads. In this paper the whole airfoil design process and the main characteristics of the airfoil family are described. Some force coefficients for the design Reynolds number are also presented. The new designed airfoils have been studied with computational calculations (panel method code and CFD) and also in a wind tunnel experimental campaign. Some of these results will be also presented in this paper.

  14. Identifying polar bear resource selection patterns to inform offshore development in a dynamic and changing Arctic

    USGS Publications Warehouse

    Wilson, Ryan R.; Horne, Jon S.; Rode, Karyn D.; Regehr, Eric V.; Durner, George M.

    2014-01-01

    Although sea ice loss is the primary threat to polar bears (Ursus maritimus), little can be done to mitigate its effects without global efforts to reduce greenhouse gas emissions. Other factors, however, could exacerbate the impacts of sea ice loss on polar bears, such as exposure to increased industrial activity. The Arctic Ocean has enormous oil and gas potential, and its development is expected to increase in the coming decades. Estimates of polar bear resource selection will inform managers how bears use areas slated for oil development and to help guide conservation planning. We estimated temporally-varying resource selection patterns for non-denning adult female polar bears in the Chukchi Sea population (2008–2012) at two scales (i.e., home range and weekly steps) to identify factors predictive of polar bear use throughout the year, before any offshore development. From the best models at each scale, we estimated scale-integrated resource selection functions to predict polar bear space use across the population's range and determined when bears were most likely to use the region where offshore oil and gas development in the United States is slated to occur. Polar bears exhibited significant intra-annual variation in selection patterns at both scales but the strength and annual patterns of selection differed between scales for most variables. Bears were most likely to use the offshore oil and gas planning area during ice retreat and growth with the highest predicted use occurring in the southern portion of the planning area. The average proportion of predicted high-value habitat in the planning area was >15% of the total high-value habitat for the population during sea ice retreat and growth and reached a high of 50% during November 2010. Our results provide a baseline on which to judge future changes to non-denning adult female polar bear resource selection in the Chukchi Sea and help guide offshore development in the region. Lastly, our study provides a framework for assessing potential impacts of offshore oil and gas development to other polar bear populations around the Arctic.

  15. Tropical cyclone induced asymmetry of sea level surge and fall and its presentation in a storm surge model with parametric wind fields

    NASA Astrophysics Data System (ADS)

    Peng, Machuan; Xie, Lian; Pietrafesa, Leonard J.

    The asymmetry of tropical cyclone induced maximum coastal sea level rise (positive surge) and fall (negative surge) is studied using a three-dimensional storm surge model. It is found that the negative surge induced by offshore winds is more sensitive to wind speed and direction changes than the positive surge by onshore winds. As a result, negative surge is inherently more difficult to forecast than positive surge since there is uncertainty in tropical storm wind forecasts. The asymmetry of negative and positive surge under parametric wind forcing is more apparent in shallow water regions. For tropical cyclones with fixed central pressure, the surge asymmetry increases with decreasing storm translation speed. For those with the same translation speed, a weaker tropical cyclone is expected to gain a higher AI (asymmetry index) value though its induced maximum surge and fall are smaller. With fixed RMW (radius of maximum wind), the relationship between central pressure and AI is heterogeneous and depends on the value of RMW. Tropical cyclone's wind inflow angle can also affect surge asymmetry. A set of idealized cases as well as two historic tropical cyclones are used to illustrate the surge asymmetry.

  16. 2014 and 2015 anomalies in temperature and the epipelagic fish community in the eastern Gulf of Alaska and implications for juvenile fish.

    NASA Astrophysics Data System (ADS)

    Rhea-Fournier, W.

    2016-02-01

    Summer eastern Gulf of Alaska fisheries oceanography surveys of the epipelagic in 2014 and 2015 indicated elevated near surface temperatures, changes in the fish community, and variability in prey quality. The Alaska Fisheries Science Center deployed CTDs to observe temperature profiles, surface trawls to collect fish, and plankton nets to collect zooplankton from 2010 to 2015 along the coast and offshore of Baranof and Chichagof Island . Average near surface temperature for 2014 and 2015 were significantly higher than previous years with an increase of over 3.5 degrees relative to 2012. Young of the year groundfish that occupy the epipelagic in the summer prior to pelagic and demersal migration experienced changes in relative abundance that included a decrease in pollock, Pacific cod, and arrowtooth flounder and an increase in sablefish. The warmer temperatures allowed Elasmobranchs from tropical regions to migrate north including blue sharks and Thresher sharks which represented a northern range extension. Other anomalous fish catches in the nearshore in 2014 and 2015 included multiple ocean sunfish, Mola mola, and the abundance of Pacific pomfret, a piscivorous species usually found in offshore waters. Zooplankton collections analyzed for caloric content and lipid allocation indicated interannual variability with an increase of condition in 2014 and a significant decrease in 2015. While the elevated temperatures of 2014 and 2015 may have provided suitable habitat and range extensions for lower latitude and offshore species, the combination of accelerated metabolism due to higher thermal experience, depleted energetic input from prey, and increase in predators has the potential to decrease survival of juvenile fish in the epipelagic.

  17. Interannual Variation in Offshore Advection of Amazon-Orinoco Plume Waters: Observations, Forcing Mechanisms, and Impacts

    NASA Astrophysics Data System (ADS)

    Fournier, S.; Vandemark, D.; Gaultier, L.; Lee, T.; Jonsson, B.; Gierach, M. M.

    2017-11-01

    This study investigates sea surface salinity (SSS) and sea surface temperature (SST) variations in the tropical Atlantic east of the Lesser Antilles, a region where freshwater advection from the Amazon and Orinoco Rivers, may potentially impact air-sea interaction. Observations are used to document later-summer variability and evaluate offshore riverine transport from 2010 to 2014. During this period, the largest difference in plume-affected areas, defined as the extent covered by SSS lower than 35.5 pss, is found between 2011 and 2014. Plume waters covered 92% of the study region in 2011 and 60% in 2014, with the average SSS in the study region being 2 pss lower in 2011. Lagrangian particle tracking based on satellite-derived ocean currents is used to diagnose the impact of the river plumes on SSS and SST from 2010 to 2014. Northward freshwater flux in summer 2014 was significantly weaker than fluxes in 2010-2013. This difference is not due to interannual discharge variability, but to significant changes in eddy-driven transport and cross-shore winds. In particular, the stronger cross-shore wind in May 2014 restricted offshore freshwater flow and lead to a smaller plume-affected area. Persistent SST gradients are often found near the plume edge, which may have implications for ocean-atmosphere coupling associated with atmospheric convection. SST in the study region was 1°C higher in 2010 compared to other years, and is related to basin-scale ocean-atmosphere processes. Interannual variation in Amazon advective pathways and the associated SSS changes are also influenced by changes in the ITCZ position between 2011 and 2014.

  18. Factors Contributing to 50-ft Walking Speed and Observed Ethnic Differences in Older Community-Dwelling Mexican Americans and European Americans

    PubMed Central

    Hazuda, Helen P.

    2015-01-01

    Background Mexican Americans comprise the most rapidly growing segment of the older US population and are reported to have poorer functional health than European Americans, but few studies have examined factors contributing to ethnic differences in walking speed between Mexican Americans and European Americans. Objective The purpose of this study was to examine factors that contribute to walking speed and observed ethnic differences in walking speed in older Mexican Americans and European Americans using the disablement process model (DPM) as a guide. Design This was an observational, cross-sectional study. Methods Participants were 703 Mexican American and European American older adults (aged 65 years and older) who completed the baseline examination of the San Antonio Longitudinal Study of Aging (SALSA). Hierarchical regression models were performed to identify the contribution of contextual, lifestyle/anthropometric, disease, and impairment variables to walking speed and to ethnic differences in walking speed. Results The ethic difference in unadjusted mean walking speed (Mexican Americans=1.17 m/s, European Americans=1.29 m/s) was fully explained by adjustment for contextual (ie, age, sex, education, income) and lifestyle/anthropometric (ie, body mass index, height, physical activity) variables; adjusted mean walking speed in both ethnic groups was 1.23 m/s. Contextual variables explained 20.3% of the variance in walking speed, and lifestyle/anthropometric variables explained an additional 8.4%. Diseases (ie, diabetes, stroke, chronic obstructive pulmonary disease) explained an additional 1.9% of the variance in walking speed; impairments (ie, FEV1, upper leg pain, and lower extremity strength and range of motion) contributed an additional 5.5%. Thus, both nonmodifiable (ie, contextual, height) and modifiable (ie, impairments, body mass index, physical activity) factors contributed to walking speed in older Mexican Americans and European Americans. Limitations The study was conducted in a single geographic area and included only Mexican American Hispanic individuals. Conclusions Walking speed in older Mexican Americans and European Americans is influenced by modifiable and nonmodifiable factors, underscoring the importance of the DPM framework, which incorporates both factors into the physical therapist patient/client management process. PMID:25592187

  19. Evaluation of variable speed limits on I-270/I-255 in St. Louis.

    DOT National Transportation Integrated Search

    2010-10-01

    In May of 2008, MoDOT installed a Variable Speed Limit (VSL) system along the I270/I255 corridor in St. Louis. This project evaluated the VSL system and its potential impacts and benefits to the transportation users. The technical system ...

  20. Variable Mach number design approach for a parallel waverider with a wide-speed range based on the osculating cone theory

    NASA Astrophysics Data System (ADS)

    Zhao, Zhen-tao; Huang, Wei; Li, Shi-Bin; Zhang, Tian-Tian; Yan, Li

    2018-06-01

    In the current study, a variable Mach number waverider design approach has been proposed based on the osculating cone theory. The design Mach number of the osculating cone constant Mach number waverider with the same volumetric efficiency of the osculating cone variable Mach number waverider has been determined by writing a program for calculating the volumetric efficiencies of waveriders. The CFD approach has been utilized to verify the effectiveness of the proposed approach. At the same time, through the comparative analysis of the aerodynamic performance, the performance advantage of the osculating cone variable Mach number waverider is studied. The obtained results show that the osculating cone variable Mach number waverider owns higher lift-to-drag ratio throughout the flight profile when compared with the osculating cone constant Mach number waverider, and it has superior low-speed aerodynamic performance while maintaining nearly the same high-speed aerodynamic performance.

  1. Technology Assessment for Large Vertical-Lift Transport Tiltrotors

    NASA Technical Reports Server (NTRS)

    Germanowski, Peter J.; Stille, Brandon L.; Strauss, Michael P.

    2010-01-01

    The technical community has identified rotor efficiency as a critical enabling technology for large vertical-lift transport (LVLT) rotorcraft. The size and performance of LVLT aircraft will be far beyond current aircraft capabilities, enabling a transformational change in cargo transport effectiveness. Two candidate approaches for achieving high efficiency were considered for LVLT applications: a variable-diameter tiltrotor (VDTR) and a variable-speed tiltrotor (VSTR); the former utilizes variable-rotor geometry and the latter utilizes variable-rotor speed. Conceptual aircraft designs were synthesized for the VDTR and VSTR and compared to a conventional tiltrotor (CTR). The aircraft were optimized to a common objective function and bounded by a set of physical- and requirements-driven constraints. The resulting aircraft were compared for weight, size, performance, handling qualities, and other attributes. These comparisons established a measure of the relative merits of the variable-diameter and -speed rotor systems as enabling technologies for LVLT capability.

  2. Pacing during an ultramarathon running event in hilly terrain

    PubMed Central

    Cole-Hunter, Tom; Wiegand, Aaron N.; Solomon, Colin

    2016-01-01

    Purpose The dynamics of speed selection as a function of distance, or pacing, are used in recreational, competitive, and scientific research situations as an indirect measure of the psycho-physiological status of an individual. The purpose of this study was to determine pacing on level, uphill and downhill sections of participants in a long (>80 km) ultramarathon performed on trails in hilly terrain. Methods Fifteen ultramarathon runners competed in a  173 km event (five finished at  103 km) carrying a Global-Positioning System (GPS) device. Using the GPS data, we determined the speed, relative to average total speed, in level (LEV), uphill (UH) and downhill (DH) gradient categories as a function of total distance, as well as the correlation between overall performance and speed variability, speed loss, and total time stopped. Results There were no significant differences in normality, variances or means in the relative speed in 173-km and 103-km participants. Relative speed decreased in LEV, UH and DH. The main component of speed loss occurred between 5% and 50% of the event distance in LEV, and between 5% and 95% in UH and DH. There were no significant correlations between overall performance and speed loss, the variability of speed, or total time stopped. Conclusions Positive pacing was observed at all gradients, with the main component of speed loss occurring earlier (mixed pacing) in LEV compared to UH and DH. A speed reserve (increased speed in the last section) was observed in LEV and UH. The decrease in speed and variability of speed were more important in LEV and DH than in UH. The absence of a significant correlation between overall performance and descriptors of pacing is novel and indicates that pacing in ultramarathons in trails and hilly terrain differs to other types of running events. PMID:27812406

  3. Temporal and spatial variability of wind resources in the United States as derived from the Climate Forecast System Reanalysis

    Treesearch

    Lejiang Yu; Shiyuan Zhong; Xindi Bian; Warren E. Heilman

    2015-01-01

    This study examines the spatial and temporal variability of wind speed at 80m above ground (the average hub height of most modern wind turbines) in the contiguous United States using Climate Forecast System Reanalysis (CFSR) data from 1979 to 2011. The mean 80-m wind exhibits strong seasonality and large spatial variability, with higher (lower) wind speeds in the...

  4. Differential effects of absent visual feedback control on gait variability during different locomotion speeds.

    PubMed

    Wuehr, M; Schniepp, R; Pradhan, C; Ilmberger, J; Strupp, M; Brandt, T; Jahn, K

    2013-01-01

    Healthy persons exhibit relatively small temporal and spatial gait variability when walking unimpeded. In contrast, patients with a sensory deficit (e.g., polyneuropathy) show an increased gait variability that depends on speed and is associated with an increased fall risk. The purpose of this study was to investigate the role of vision in gait stabilization by determining the effects of withdrawing visual information (eyes closed) on gait variability at different locomotion speeds. Ten healthy subjects (32.2 ± 7.9 years, 5 women) walked on a treadmill for 5-min periods at their preferred walking speed and at 20, 40, 70, and 80 % of maximal walking speed during the conditions of walking with eyes open (EO) and with eyes closed (EC). The coefficient of variation (CV) and fractal dimension (α) of the fluctuations in stride time, stride length, and base width were computed and analyzed. Withdrawing visual information increased the base width CV for all walking velocities (p < 0.001). The effects of absent visual information on CV and α of stride time and stride length were most pronounced during slow locomotion (p < 0.001) and declined during fast walking speeds. The results indicate that visual feedback control is used to stabilize the medio-lateral (i.e., base width) gait parameters at all speed sections. In contrast, sensory feedback control in the fore-aft direction (i.e., stride time and stride length) depends on speed. Sensory feedback contributes most to fore-aft gait stabilization during slow locomotion, whereas passive biomechanical mechanisms and an automated central pattern generation appear to control fast locomotion.

  5. Overview of Variable-Speed Power-Turbine Research

    NASA Technical Reports Server (NTRS)

    Welch, Gerard E.

    2011-01-01

    The vertical take-off and landing (VTOL) and high-speed cruise capability of the NASA Large Civil Tilt-Rotor (LCTR) notional vehicle is envisaged to enable increased throughput in the national airspace. A key challenge of the LCTR is the requirement to vary the main rotor speeds from 100% at take-off to near 50% at cruise as required to minimize mission fuel burn. The variable-speed power-turbine (VSPT), driving a fixed gear-ratio transmission, provides one approach for effecting this wide speed variation. The key aerodynamic and rotordynamic challenges of the VSPT were described in the FAP Conference presentation. The challenges include maintaining high turbine efficiency at high work factor, wide (60 deg.) of incidence variation in all blade rows due to the speed variation, and operation at low Reynolds numbers (with transitional flow). The PT -shaft of the VSPT must be designed for safe operation in the wide speed range required, and therefore poses challenges associated with rotordynamics. The technical challenges drive research activities underway at NASA. An overview of the NASA SRW VSPT research activities was provided. These activities included conceptual and preliminary aero and mechanical (rotordynamics) design of the VSPT for the LCTR application, experimental and computational research supporting the development of incidence tolerant blading, and steps toward component-level testing of a variable-speed power-turbine of relevance to the LCTR application.

  6. FUZZY LOGIC BASED INTELLIGENT CONTROL OF A VARIABLE SPEED CAGE MACHINE WIND GENERATION SYSTEM

    EPA Science Inventory

    The paper describes a variable-speed wind generation system where fuzzy logic principles are used to optimize efficiency and enhance performance control. A squirrel cage induction generator feeds the power to a double-sided pulse width modulated converter system which either pump...

  7. FUZZY LOGIC BASED INTELLIGENT CONTROL OF A VARIABLE SPEED CAGE MACHINE WIND GENERATION SYSTEM

    EPA Science Inventory

    The report gives results of a demonstration of the successful application of fuzzy logic to enhance the performance and control of a variable-speed wind generation system. A squirrel cage induction generator feeds the power to either a double-sided pulse-width modulation converte...

  8. Influence of travel speed on spray deposition uniformity from an air-assisted variable-rate sprayer

    USDA-ARS?s Scientific Manuscript database

    A newly developed LiDAR-guided air-assisted variable-rate sprayer for nursery and orchard applications was tested at various travel speeds to compare its spray deposition and coverage uniformity with constant-rate applications. Spray samplers, including nylon screens and water-sensitive papers (WSP)...

  9. Appendices : evaluation of variable speed limits on I-270/I-255 in St. Louis.

    DOT National Transportation Integrated Search

    2010-10-01

    In May of 2008, MoDOT installed a Variable Speed Limit (VSL) system along the I-270/I-255 corridor in : St. Louis. This project evaluated the VSL system and its potential impacts and benefits to the : transportation users. The technical system ...

  10. Inhibitory Performance, Response Speed, Intraindividual Variability, and Response Accuracy in ADHD

    ERIC Educational Resources Information Center

    De Zeeuw, Patrick; Aarnoudse-Moens, Cornelieke; Bijlhout, Joyce; Konig, Claudia; Uiterweer, Annebeth Post; Papanikolau, Alky; Hoogenraad, Caecilia; Imandt, Lieke; De Been, Debbie; Sergeant, Joseph A.; Oosterlaan, Jaap

    2008-01-01

    The study aims to investigate the influence of inhibitory performance, response speed, intraindividual variability and response accuracy in distinguishing children from those with Attention-deficit/Hyperactivity (ADHD) syndrome from normal healthy children. The results conclude that there exist large number of differences in the symptoms between…

  11. Friis Hills Drilling Project - Coring an Early to mid-Miocene terrestrial sequence in the Transantarctic Mountains to examine climate gradients and ice sheet variability along an inland-to-offshore transect

    NASA Astrophysics Data System (ADS)

    Lewis, A. R.; Levy, R. H.; Naish, T.; Gorman, A. R.; Golledge, N.; Dickinson, W. W.; Kraus, C.; Florindo, F.; Ashworth, A. C.; Pyne, A.; Kingan, T.

    2015-12-01

    The Early to mid-Miocene is a compelling interval to study Antarctic ice sheet (AIS) sensitivity. Circulation patterns in the southern hemisphere were broadly similar to present and reconstructed atmospheric CO2 concentrations were analogous to those projected for the next several decades. Geologic records from locations proximal to the AIS are required to examine ice sheet response to climate variability during this time. Coastal and offshore drill core records recovered by ANDRILL and IODP provide information regarding ice sheet variability along and beyond the coastal margin but they cannot constrain the extent of inland retreat. Additional environmental data from the continental interior is required to constrain the magnitude of ice sheet variability and inform numerical ice sheet models. The only well-dated terrestrial deposits that register early to mid-Miocene interior ice extent and climate are in the Friis Hills, 80 km inland. The deposits record multiple glacial-interglacial cycles and fossiliferous non-glacial beds show that interglacial climate was warm enough for a diverse biota. Drifts are preserved in a shallow valley with the oldest beds exposed along the edges where they terminate at sharp erosional margins. These margins reveal drifts in short stratigraphic sections but none is more than 13 m thick. A 34 m-thick composite stratigraphic sequence has been produced from exposed drift sequences but correlating beds in scattered exposures is problematic. Moreover, much of the sequence is buried and inaccessible in the basin center. New seismic data collected during 2014 reveal a sequence of sediments at least 50 m thick. This stratigraphic package likely preserves a detailed and more complete sedimentary sequence for the Friis Hills that can be used to refine and augment the outcrop-based composite stratigraphy. We aim to drill through this sequence using a helicopter-transportable diamond coring system. These new cores will allow us to obtain continuous measurements on unweathered material through the terrestrial sequence. Beds of tephra are exposed in outcrop and we expect to encounter these key age markers in the cored sequence. These new high quality, well-dated terrestrial data will be directly compared to marine cores to provide environmental data across a broad onshore-offshore transect.

  12. Cognitive inconsistency in bipolar patients is determined by increased intra-individual variability in initial phase of task performance.

    PubMed

    Krukow, Paweł; Szaniawska, Ola; Harciarek, Michał; Plechawska-Wójcik, Małgorzata; Jonak, Kamil

    2017-03-01

    Bipolar patients show high intra-individual variability during cognitive processing. However, it is not known whether there are a specific fluctuations of variability contributing to the overall high cognitive inconsistency. The objective was to compare dynamic profiles of patients and healthy controls to identify hypothetical differences and their associations with overall variability and processing speed. Changes of reaction times iSD during processing speed test performance over time was measured by dividing the iSD for whole task into four consecutive parts. Motor speed and cognitive effort were controlled. Patients with BD exhibited significantly lower results regarding processing speed and higher intra-individual variability comparing with HC. The profile of intra-individual variability changes over time of performance was significantly different in BD versus HC groups: F(3, 207)=8.60, p<0.0001, η p 2 =0.11. iSD of BD patients in the initial phase of performance was three times higher than in the last. There was no significant differences between four intervals in HC group. Inter-group difference in the initial part of the profiles was significant also after controlling for several cognitive and clinical variables. Applied computer version of Cognitive Speed Test was relatively new and, thus, replication studies are needed. Effect seen in the present study is driven mainly by the BD type I. Patients with BD exhibits problems with setting a stimulus-response association in starting phase of cognitive processing. This deficit may negatively interfere with the other cognitive functions, decreasing level of psychosocial functioning, therefore should be explored in future studies. Copyright © 2017 Elsevier B.V. All rights reserved.

  13. Seasonality, interannual variability, and linear tendency of wind speeds in the northeast Brazil from 1986 to 2011.

    PubMed

    Torres Silva dos Santos, Alexandre; Moisés Santos e Silva, Cláudio

    2013-01-01

    Wind speed analyses are currently being employed in several fields, especially in wind power generation. In this study, we used wind speed data from records of Universal Fuess anemographs at an altitude of 10 m from 47 weather stations of the National Institute of Meteorology (Instituto Nacional de Meteorologia-INMET) from January 1986 to December 2011. The objective of the study was to investigate climatological aspects and wind speed trends. To this end, the following methods were used: filling of missing data, descriptive statistical calculations, boxplots, cluster analysis, and trend analysis using the Mann-Kendall statistical method. The seasonal variability of the average wind speeds of each group presented higher values for winter and spring and lower values in the summer and fall. The groups G1, G2, and G5 showed higher annual averages in the interannual variability of wind speeds. These observed peaks were attributed to the El Niño and La Niña events, which change the behavior of global wind circulation and influence wind speeds over the region. Trend analysis showed more significant negative values for the G3, G4, and G5 groups for all seasons of the year and in the annual average for the period under study.

  14. Seasonality, Interannual Variability, and Linear Tendency of Wind Speeds in the Northeast Brazil from 1986 to 2011

    PubMed Central

    Santos e Silva, Cláudio Moisés

    2013-01-01

    Wind speed analyses are currently being employed in several fields, especially in wind power generation. In this study, we used wind speed data from records of Universal Fuess anemographs at an altitude of 10 m from 47 weather stations of the National Institute of Meteorology (Instituto Nacional de Meteorologia-INMET) from January 1986 to December 2011. The objective of the study was to investigate climatological aspects and wind speed trends. To this end, the following methods were used: filling of missing data, descriptive statistical calculations, boxplots, cluster analysis, and trend analysis using the Mann-Kendall statistical method. The seasonal variability of the average wind speeds of each group presented higher values for winter and spring and lower values in the summer and fall. The groups G1, G2, and G5 showed higher annual averages in the interannual variability of wind speeds. These observed peaks were attributed to the El Niño and La Niña events, which change the behavior of global wind circulation and influence wind speeds over the region. Trend analysis showed more significant negative values for the G3, G4, and G5 groups for all seasons of the year and in the annual average for the period under study. PMID:24250267

  15. Spatial-temporal analysis of coherent offshore wind field structures measured by scanning Doppler-lidar

    NASA Astrophysics Data System (ADS)

    Valldecabres, L.; Friedrichs, W.; von Bremen, L.; Kühn, M.

    2016-09-01

    An analysis of the spatial and temporal power fluctuations of a simplified wind farm model is conducted on four offshore wind fields data sets, two from lidar measurements and two from LES under unstable and neutral atmospheric conditions. The integral length scales of the horizontal wind speed computed in the streamwise and the cross-stream direction revealed the elongation of the structures in the direction of the mean flow. To analyse the effect of the structures on the power output of a wind turbine, the aggregated equivalent power of two wind turbines with different turbine spacing in the streamwise and cross-stream direction is analysed at different time scales under 10 minutes. The fact of considering the summation of the power of two wind turbines smooths out the fluctuations of the power output of a single wind turbine. This effect, which is stronger with increasing spacing between turbines, can be seen in the aggregation of the power of two wind turbines in the streamwise direction. Due to the anti-correlation of the coherent structures in the cross-stream direction, this smoothing effect is stronger when the aggregated power is computed with two wind turbines aligned orthogonally to the mean flow direction.

  16. Effectiveness and acceptance of the intelligent speeding prediction system (ISPS).

    PubMed

    Zhao, Guozhen; Wu, Changxu

    2013-03-01

    The intelligent speeding prediction system (ISPS) is an in-vehicle speed assistance system developed to provide quantitative predictions of speeding. Although the ISPS's prediction of speeding has been validated, whether the ISPS can regulate a driver's speed behavior or whether a driver accepts the ISPS needs further investigation. Additionally, compared to the existing intelligent speed adaptation (ISA) system, whether the ISPS performs better in terms of reducing excessive speeds and improving driving safety needs more direct evidence. An experiment was conducted to assess and compare the effectiveness and acceptance of the ISPS and the ISA. We conducted a driving simulator study with 40 participants. System type served as a between-subjects variable with four levels: no speed assistance system, pre-warning system developed based on the ISPS, post-warning system ISA, and combined pre-warning and ISA system. Speeding criterion served as a within-subjects variable with two levels: lower (posted speed limit plus 1 mph) and higher (posted speed limit plus 5 mph) speed threshold. Several aspects of the participants' driving speed, speeding measures, lead vehicle response, and subjective measures were collected. Both pre-warning and combined systems led to greater minimum time-to-collision. The combined system resulted in slower driving speed, fewer speeding exceedances, shorter speeding duration, and smaller speeding magnitude. The results indicate that both pre-warning and combined systems have the potential to improve driving safety and performance. Copyright © 2012 Elsevier Ltd. All rights reserved.

  17. The effects of environmental variability and spatial sampling on the three-dimensional inversion problem.

    PubMed

    Bender, Christopher M; Ballard, Megan S; Wilson, Preston S

    2014-06-01

    The overall goal of this work is to quantify the effects of environmental variability and spatial sampling on the accuracy and uncertainty of estimates of the three-dimensional ocean sound-speed field. In this work, ocean sound speed estimates are obtained with acoustic data measured by a sparse autonomous observing system using a perturbative inversion scheme [Rajan, Lynch, and Frisk, J. Acoust. Soc. Am. 82, 998-1017 (1987)]. The vertical and horizontal resolution of the solution depends on the bandwidth of acoustic data and on the quantity of sources and receivers, respectively. Thus, for a simple, range-independent ocean sound speed profile, a single source-receiver pair is sufficient to estimate the water-column sound-speed field. On the other hand, an environment with significant variability may not be fully characterized by a large number of sources and receivers, resulting in uncertainty in the solution. This work explores the interrelated effects of environmental variability and spatial sampling on the accuracy and uncertainty of the inversion solution though a set of case studies. Synthetic data representative of the ocean variability on the New Jersey shelf are used.

  18. Speed behaviour in work zone crossovers. A driving simulator study.

    PubMed

    Domenichini, Lorenzo; La Torre, Francesca; Branzi, Valentina; Nocentini, Alessandro

    2017-01-01

    Reductions in speed and, more critically, in speed variability between vehicles are considered an important factor to reduce crash risk in work zones. This study was designed to evaluate in a virtual environment the drivers' behaviour in response to nine different configurations of a motorway crossover work zone. Specifically, the speed behaviour through a typical crossover layout, designed in accordance with the Italian Ministerial Decree 10 July 2002, was compared with that of eight alternative configurations which differ in some characteristics such as the sequence of speed limits, the median opening width and the lane width. The influence of variable message signs, of channelizing devices and of perceptual treatments based on Human Factor principles were also tested. Forty-two participants drove in driving simulator scenarios while data on their speeds and decelerations were collected. The results indicated that drivers' speeds are always higher than the temporary posted speed limits for all configurations and that speeds decreases significantly only within the by-passes. However the implementation of higher speed limits, together with a wider median opening and taller channelization devices led to a greater homogeneity of the speeds adopted by the drivers. The presence of perceptual measures generally induced both the greatest homogenization of speeds and the largest reductions in mean speed values. Copyright © 2016 Elsevier Ltd. All rights reserved.

  19. Currents in monterey submarine canyon

    USGS Publications Warehouse

    Xu, J. P.; Noble, M.A.

    2009-01-01

    Flow fields of mean, subtidal, and tidal frequencies between 250 and 3300 m water depths in Monterey Submarine Canyon are examined using current measurements obtained in three yearlong field experiments. Spatial variations in flow fields are mainly controlled by the topography (shape and width) of the canyon. The mean currents flow upcanyon in the offshore reaches (>1000 m) and downcanyon in the shallow reaches (100-m amplitude isotherm oscillations and associated high-speed rectilinear currents. The 15-day spring-neap cycle and a ???3-day??? band are the two prominent frequencies in subtidal flow field. Neither of them seems directly correlated with the spring-neap cycle of the sea level.

  20. Mobile Bay turbidity plume study

    NASA Technical Reports Server (NTRS)

    Crozier, G. F.

    1976-01-01

    Laboratory and field transmissometer studies on the effect of suspended particulate material upon the appearance of water are reported. Quantitative correlations were developed between remotely sensed image density, optical sea truth data, and actual sediment load. Evaluation of satellite image sea truth data for an offshore plume projects contours of transmissivity for two different tidal phases. Data clearly demonstrate the speed of change and movement of the optical plume for water patterns associated with the mouth of Mobile bay in which relatively clear Gulf of Mexico water enters the bay on the eastern side. Data show that wind stress in excess of 15 knots has a marked impact in producing suspended sediment loads.

  1. Eye-Movement Parameters and Reading Speed.

    ERIC Educational Resources Information Center

    Sovik, Nils; Arntzen, Oddvar; Samuelstuen, Marit

    2000-01-01

    Addresses the relationship between four eye movement parameters and reading speed of 20 twelve-year-old children during silent and oral reading. Predicts reading speed by the following variables: recognition span, average fixation duration, and number of regressive saccades. Indicates that in terms of reading speed, significant interrelationships…

  2. Patients with Chronic Obstructive Pulmonary Disease Walk with Altered Step Time and Step Width Variability as Compared with Healthy Control Subjects.

    PubMed

    Yentes, Jennifer M; Rennard, Stephen I; Schmid, Kendra K; Blanke, Daniel; Stergiou, Nicholas

    2017-06-01

    Compared with control subjects, patients with chronic obstructive pulmonary disease (COPD) have an increased incidence of falls and demonstrate balance deficits and alterations in mediolateral trunk acceleration while walking. Measures of gait variability have been implicated as indicators of fall risk, fear of falling, and future falls. To investigate whether alterations in gait variability are found in patients with COPD as compared with healthy control subjects. Twenty patients with COPD (16 males; mean age, 63.6 ± 9.7 yr; FEV 1 /FVC, 0.52 ± 0.12) and 20 control subjects (9 males; mean age, 62.5 ± 8.2 yr) walked for 3 minutes on a treadmill while their gait was recorded. The amount (SD and coefficient of variation) and structure of variability (sample entropy, a measure of regularity) were quantified for step length, time, and width at three walking speeds (self-selected and ±20% of self-selected speed). Generalized linear mixed models were used to compare dependent variables. Patients with COPD demonstrated increased mean and SD step time across all speed conditions as compared with control subjects. They also walked with a narrower step width that increased with increasing speed, whereas the healthy control subjects walked with a wider step width that decreased as speed increased. Further, patients with COPD demonstrated less variability in step width, with decreased SD, compared with control subjects at all three speed conditions. No differences in regularity of gait patterns were found between groups. Patients with COPD walk with increased duration of time between steps, and this timing is more variable than that of control subjects. They also walk with a narrower step width in which the variability of the step widths from step to step is decreased. Changes in these parameters have been related to increased risk of falling in aging research. This provides a mechanism that could explain the increased prevalence of falls in patients with COPD.

  3. 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 favourable physical and psychosocial work environment characteristics. Copyright © 2015 Elsevier Ltd. All rights reserved.

  4. Subsidence monitoring system for offshore applications: technology scouting and feasibility studies

    NASA Astrophysics Data System (ADS)

    Miandro, R.; Dacome, C.; Mosconi, A.; Roncari, G.

    2015-11-01

    Because of concern about possible impacts of hydrocarbon production activities on coastal-area environments and infrastructures, new hydrocarbon offshore development projects in Italy must submit a monitoring plan to Italian authorities to measure and analyse real-time subsidence evolution. The general geological context, where the main offshore Adriatic fields are located, is represented by young unconsolidated terrigenous sediments. In such geological environments, sea floor subsidence, caused by hydrocarbon extraction, is quite probable. Though many tools are available for subsidence monitoring onshore, few are available for offshore monitoring. To fill the gap ENI (Ente Nazionale Idrocarburi) started a research program, principally in collaboration with three companies, to generate a monitoring system tool to measure seafloor subsidence. The tool, according to ENI design technical-specification, would be a robust long pipeline or cable, with a variable or constant outside diameter (less than or equal to 100 mm) and interval spaced measuring points. The design specifications for the first prototype were: to detect 1 mm altitude variation, to work up to 100 m water depth and investigation length of 3 km. Advanced feasibility studies have been carried out with: Fugro Geoservices B.V. (Netherlands), D'Appolonia (Italy), Agisco (Italy). Five design (using three fundamental measurements concepts and five measurement tools) were explored: cable shape changes measured by cable strain using fiber optics (Fugro); cable inclination measured using tiltmeters (D'Appolonia) and measured using fiber optics (Fugro); and internal cable altitude-dependent pressure changes measured using fiber optics (Fugro) and measured using pressure transducers at discrete intervals along the hydraulic system (Agisco). Each design tool was analysed and a rank ordering of preferences was performed. The third method (measurement of pressure changes), with the solution proposed by Agisco, was deemed most feasible. Agisco is building the first prototype of the tool to be installed in an offshore field in the next few years. This paper describes design of instruments from the three companies to satisfy the design specification.

  5. Nitrogen Isotopic Study of Benthic Macroalgae and Seawater in Biscayne Bay, Florida

    NASA Astrophysics Data System (ADS)

    Drayer, C. L.; Lamb, K. A.; Swart, P. K.; Altabet, M. A.; Anderson, W. T.; Bellmund, S.

    2006-12-01

    Biscayne Bay, Florida is a complex coastal environment with many possible natural and anthropogenic sources of nitrogen. Such sources include precipitation, N fixation, nutrient regeneration/recycling, landfill soil leaching, groundwater and agricultural runoff, septic tank leakage, and treated waste water effluent. In order to understand the relative importance of these various inputs, benthic macroalgae, seagrasses, and seawater samples were collected from Biscayne Bay transecting from canals through nearshore bay to offshore reef sites Macroalgae was identified by species, decarbonated, and analyzed for δ15N and δ13C. The mean δ15N and δ13C for the algal tissue were +5.4 (±0.3‰) and -15.1 (±0.1‰), respectively. Measured nearshore algal samples differed greatly from offshore samples and had a high δ15N value of +12.0 (±0.1‰) and a mean of +8.6 (±3.0‰), in comparison to offshore samples that averaged +4.7 (±2.5‰). Despite the variation in δ15N, the δ13C values for both nearshore and offshore samples fell within the accepted parameters for algal communities. Seawater was analyzed for δ15N in DIN (dissolved inorganic nitrogen) and DON (dissolved organic nitrogen) through the cadmium reduction method (Mcllvin and Altabet, 2005). The mean δ15N for the DIN was +4.5 (±3.9‰) and the DON was +5.8 (±3.3‰). Canal DON δ15N values contained the heaviest measured values at ~+18‰, while nearshore and offshore DON values were lighter, 4.9 (±1.6‰). DIN values were more spatially variable with canal and nearshore sites ranging from ~+10‰ through ~-4.5‰. This study will continue over the next two years to examine possible temporal C and N isotope variations and will expand to include a larger geographic region focusing on areas with high nutrient levels and harmful algae blooms (HABs).

  6. Prediction and control of coupled-mode flutter in future wind turbine blades

    NASA Astrophysics Data System (ADS)

    Modarres-Sadeghi, Yahya; Currier, Todd; Caracoglia, Luca; Lackner, Matthew; Hollot, Christopher

    2017-11-01

    Coupled-mode flutter can be observed in future offshore wind turbine blades. We have shown this fact by considering various candidate blade designs, in all of which the blade's first torsional mode couples with one of its flapwise modes, resulting in coupled-mode flutter. We have shown how the ratio of these two natural frequencies can result in blades with a critical flutter speed even lower than their rated speed, especially for blades with low torsional natural frequencies. We have also shown how the stochastic nature of the system parameters (as an example, due to uncertainties in the manufacturing process) can significantly influence the onset of instability. We have proposed techniques to predict the onset of these instabilities and the resulting limit-cycle response, and strategies to control them, by either postponing the onset of instability, or lowering the magnitude of the limit-cycle response. The work is supported by the National Science Foundation, Award CBET-1437988 and Collaborative Awards CMMI-1462646 and CMMI-1462774.

  7. Intraseasonal variability in the summer South China Sea: Wind jet, cold filament, and recirculations

    NASA Astrophysics Data System (ADS)

    Xie, Shang-Ping; Chang, Chueh-Hsin; Xie, Qiang; Wang, Dongxiao

    2007-10-01

    A recent study shows that the blockage of the southwest monsoon by the mountain range on the east coast of Indochina triggers a chain of ocean-atmospheric response, including a wind jet and cold filament in the South China Sea (SCS). We extend this climatological analysis by using higher temporal resolution (weekly) to study intraseasonal variability in summer. Our analysis shows that the development of the wind jet and cold filament is not a smooth seasonal process but consists of several intraseasonal events each year at about 45-day intervals. In a typical intraseasonal event, the wind jet intensifies to above 12 m/s, followed in a week by the development of a cold filament advected by an offshore jet east of South Vietnam on the boundary of a double gyre circulation in the ocean. The double gyre circulation itself also strengthens in response to the intraseasonal wind event via Rossby wave adjustment, reaching the maximum strength in 2 to 3 weeks. The intraseasonal cold filaments appear to influence the surface wind, reducing the local wind speed because of the increased static stability in the near-surface atmosphere. To first order, the above sequence of events may be viewed as the SCS response to atmospheric intraseasonal wind pulses, which are part of the planetary-scale boreal summer intraseasonal oscillation characterized by the northeastward propagation of atmospheric deep convection. The intraseasonal anomalies of sea surface temperature and precipitation are in phase over the SCS, suggesting an oceanic feedback onto the atmosphere. As wind variations are now being routinely monitored by satellite, the lags of 1-3 weeks in oceanic response offer useful predictability that may be exploited.

  8. Contrasting effect of Saharan dust and UVR on autotrophic picoplankton in nearshore versus offshore waters of Mediterranean Sea

    NASA Astrophysics Data System (ADS)

    González-Olalla, J. M.; Medina-Sánchez, J. M.; Cabrerizo, M. J.; Villar-Argáiz, Manuel; Sánchez-Castillo, Pedro M.; Carrillo, Presentación

    2017-08-01

    Autotrophic picoplankton (APP) is responsible for the vast majority of primary production in oligotrophic marine areas, such as the Alboran Sea. The increase in atmospheric dust deposition (e.g., from Sahara Desert) associated with global warming, together with the high UV radiation (UVR) on these ecosystems, may generate effects on APP hitherto unknown. We performed an observational study across the Alboran Sea to establish which factors control the abundance and distribution of APP, and we made a microcosm experiment in two distinct areas, nearshore and offshore, to predict the joint UVR × dust impact on APP at midterm scales. Our observational study showed that temperature (T) was the main factor explaining the APP distribution whereas total dissolved nitrogen positively correlated with APP abundance. Our experimental study revealed that Saharan dust inputs reduced or inverted the UVR damage on the photosynthetic quantum yield (ΦPSII) and picoplanktonic primary production (PPP) in the nearshore area but accentuated it in the offshore. This contrasting effect is partially explained by the nonphotochemical quenching, acting as a photorepair mechanism. Picoeukaryotes reflected the observed effects on the physiological and metabolic variables, and Synechococcus was the only picoprokaryotic group that showed a positive response under UVR × dust conditions. Our study highlights a dual sensitivity of nearshore versus offshore picoplankton to dust inputs and UVR fluxes, just at the time in which these two global-change factors show their highest intensities and may recreate a potential future response of the microbial food web under global-change conditions.

  9. Potential Offshore Submarine Groundwater in the Albufeira-Ribeira de Quarteira aquifer system (Algarve, Portugal)

    NASA Astrophysics Data System (ADS)

    Hugman, Rui; Stigter, Tibor; Monteiro, Jose Paulo

    2015-04-01

    The Albufeira-Ribeira de Quarteira aquifer system on the south coast of Portugal is an important source of groundwater for agriculture and tourism, as well as contributing to significant freshwater discharge along the coast in the form of inter- and sub-tidal springs and maintaining groundwater dependent ecosystems along the Quarteira stream. Submarine groundwater discharge (SGD) in the area was investigated within the scope of a multidisciplinary research project FREEZE (PTDC/MAR/102030/2008) which aimed to identify and characterize the effects of the hydrological/hydrogeological conditions on associated ecosystems. As well as near shore submarine springs, signs of SGD were found several kilometres from the shoreline during offshore CTD and geophysical surveys. On-land geophysical and offshore seismic surveys supplied data to update the 3D hydrogeological conceptual model of the aquifer system. Numerical models were applied to test the possibility of an offshore continuation of fresh groundwater over several kilometres under local conditions. Due to the high computational demand of variable density modelling, in an initial phase simplified 2D cross section models were used to test the conceptual model and reduce uncertainty in regards to model parameters. Results confirm the potential for SGD several kilometres from the coast within a range of acceptable values of hydraulic conductivity and recharge of the system. This represents the initial step in developing and calibrating a 3D regional scale model of the system, which aims to supply an estimate of the spatial distribution of SGD as well as serve as a decision support tool for the local water resources management agency.

  10. Effects of offshore wind farms on marine wildlife—a generalized impact assessment

    NASA Astrophysics Data System (ADS)

    Bergström, Lena; Kautsky, Lena; Malm, Torleif; Rosenberg, Rutger; Wahlberg, Magnus; Åstrand Capetillo, Nastassja; Wilhelmsson, Dan

    2014-03-01

    Marine management plans over the world express high expectations to the development of offshore wind energy. This would obviously contribute to renewable energy production, but potential conflicts with other usages of the marine landscape, as well as conservation interests, are evident. The present study synthesizes the current state of understanding on the effects of offshore wind farms on marine wildlife, in order to identify general versus local conclusions in published studies. The results were translated into a generalized impact assessment for coastal waters in Sweden, which covers a range of salinity conditions from marine to nearly fresh waters. Hence, the conclusions are potentially applicable to marine planning situations in various aquatic ecosystems. The assessment considered impact with respect to temporal and spatial extent of the pressure, effect within each ecosystem component, and level of certainty. Research on the environmental effects of offshore wind farms has gone through a rapid maturation and learning process, with the bulk of knowledge being developed within the past ten years. The studies showed a high level of consensus with respect to the construction phase, indicating that potential impacts on marine life should be carefully considered in marine spatial planning. Potential impacts during the operational phase were more locally variable, and could be either negative or positive depending on biological conditions as well as prevailing management goals. There was paucity in studies on cumulative impacts and long-term effects on the food web, as well as on combined effects with other human activities, such as the fisheries. These aspects remain key open issues for a sustainable marine spatial planning.

  11. Hydrographic Variability off the Coast of Oman

    NASA Astrophysics Data System (ADS)

    Belabbassi, L.; Dimarco, S. F.; Jochens, A. E.; Al Gheilani, H.; Wang, Z.

    2010-12-01

    Data from hydrographic transects made in 2001 and 2002 and between 2007 and 2009 were obtained from the Oman Ministry of Fisheries Wealth. Property-depth plots of temperature, salinity, and dissolved oxygen were produced for all transects and in all months for which data were available. These were analyzed for temporal and spatial variability. For all transects, there exist large variability on various timescales, with strong spatial variability. Two common features that are seen in the hydrographic data sets are the Persian Gulf Water (PGW) and a layer of continuous low oxygen concentrations in the lower part of the water column. Plots of salinity produced for transects located in the northern part of the Gulf of Oman show a one-unit increase in salinity of the water at the bottom of deepest station during the months of August and September as compared to the other months. Similarly, cross-shelf contour plots of temperature shows an increase in water temperature near the bottom station during the months of August and September. These indicate the presence of the PGW outflow in the northern part of the Gulf of Oman. For dissolved oxygen distributions, hydrographic transects that did not extend far offshore show monthly differences in the presence of water with low oxygen concentrations. For transects that do extend far offshore and also show a layer of low oxygen water throughout the year, there is generally a monthly difference on whether this water is found close to the surface or deeper in the water column. The variability seen in the data could only be explained by comparing these data to data collected from the real time cable ocean observing system installed by Lighthouse R &D Enterprise in the Oman Sea and the Arabian Sea in 2005. The analysis of these data reveal that the variability observed is related to processes such as ocean conditions, monsoonal cycle, and extreme weather events.

  12. An oilspill trajectory analysis model with a variable wind deflection angle

    USGS Publications Warehouse

    Samuels, W.B.; Huang, N.E.; Amstutz, D.E.

    1982-01-01

    The oilspill trajectory movement algorithm consists of a vector sum of the surface drift component due to wind and the surface current component. In the U.S. Geological Survey oilspill trajectory analysis model, the surface drift component is assumed to be 3.5% of the wind speed and is rotated 20 degrees clockwise to account for Coriolis effects in the Northern Hemisphere. Field and laboratory data suggest, however, that the deflection angle of the surface drift current can be highly variable. An empirical formula, based on field observations and theoretical arguments relating wind speed to deflection angle, was used to calculate a new deflection angle at each time step in the model. Comparisons of oilspill contact probabilities to coastal areas calculated for constant and variable deflection angles showed that the model is insensitive to this changing angle at low wind speeds. At high wind speeds, some statistically significant differences in contact probabilities did appear. ?? 1982.

  13. Modeling vehicle operating speed on urban roads in Montreal: a panel mixed ordered probit fractional split model.

    PubMed

    Eluru, Naveen; Chakour, Vincent; Chamberlain, Morgan; Miranda-Moreno, Luis F

    2013-10-01

    Vehicle operating speed measured on roadways is a critical component for a host of analysis in the transportation field including transportation safety, traffic flow modeling, roadway geometric design, vehicle emissions modeling, and road user route decisions. The current research effort contributes to the literature on examining vehicle speed on urban roads methodologically and substantively. In terms of methodology, we formulate a new econometric model framework for examining speed profiles. The proposed model is an ordered response formulation of a fractional split model. The ordered nature of the speed variable allows us to propose an ordered variant of the fractional split model in the literature. The proposed formulation allows us to model the proportion of vehicles traveling in each speed interval for the entire segment of roadway. We extend the model to allow the influence of exogenous variables to vary across the population. Further, we develop a panel mixed version of the fractional split model to account for the influence of site-specific unobserved effects. The paper contributes substantively by estimating the proposed model using a unique dataset from Montreal consisting of weekly speed data (collected in hourly intervals) for about 50 local roads and 70 arterial roads. We estimate separate models for local roads and arterial roads. The model estimation exercise considers a whole host of variables including geometric design attributes, roadway attributes, traffic characteristics and environmental factors. The model results highlight the role of various street characteristics including number of lanes, presence of parking, presence of sidewalks, vertical grade, and bicycle route on vehicle speed proportions. The results also highlight the presence of site-specific unobserved effects influencing the speed distribution. The parameters from the modeling exercise are validated using a hold-out sample not considered for model estimation. The results indicate that the proposed panel mixed ordered probit fractional split model offers promise for modeling such proportional ordinal variables. Copyright © 2013 Elsevier Ltd. All rights reserved.

  14. Design and dynamic simulation of a fixed pitch 56 kW wind turbine drive train with a continuously variable transmission

    NASA Technical Reports Server (NTRS)

    Gallo, C.; Kasuba, R.; Pintz, A.; Spring, J.

    1986-01-01

    The dynamic analysis of a horizontal axis fixed pitch wind turbine generator (WTG) rated at 56 kW is discussed. A mechanical Continuously Variable Transmission (CVT) was incorporated in the drive train to provide variable speed operation capability. One goal of the dynamic analysis was to determine if variable speed operation, by means of a mechanical CVT, is capable of capturing the transient power in the WTG/wind environment. Another goal was to determine the extent of power regulation possible with CVT operation.

  15. Automated section speed control on motorways: an evaluation of the effect on driving speed.

    PubMed

    De Pauw, Ellen; Daniels, Stijn; Brijs, Tom; Hermans, Elke; Wets, Geert

    2014-12-01

    Automated section speed control is a fairly new traffic safety measure that is increasingly applied to enforce speed limits. The advantage of this enforcement system is the registration of the average speed at an entire section, which would lead to high speed limit compliances and subsequently to a reduction in the vehicle speed variability, increased headway, more homogenised traffic flow and increased traffic capacity. However, the number of studies that analysed these effects are limited. The present study evaluates the speed effect of two section speed control systems in Flanders, Belgium. Both sections are located in the opposite direction of a three-lane motorway with a posted speed limit of 120 km/h. Speed data were collected at different points: from 6 km before the entrance of the section to 6 km downstream from the section. The effect was analysed through a before- and after comparison of travel speeds. General time trends and fluctuations were controlled through the analysis of speeds at comparison locations. On the enforced sections considerable decreases were found of about 5.84 km/h in the average speed, 74% in the odds of drivers exceeding the speed limit and 86% in the odds of drivers exceeding the speed limit by more than 10%. At the locations up- and downstream from the section also favourable effects were found for the three outcomes. Furthermore a decrease in the speed variability could be observed at all these data points. Copyright © 2014 Elsevier Ltd. All rights reserved.

  16. A dynamical system perspective to understanding badminton singles game play.

    PubMed

    Chow, Jia Yi; Seifert, Ludovic; Hérault, Romain; Chia, Shannon Jing Yi; Lee, Miriam Chang Yi

    2014-02-01

    By altering the task constraints of cooperative and competitive game contexts in badminton, insights can be obtained from a dynamical systems perspective to investigate the underlying processes that results in either a gradual shift or transition of playing patterns. Positional data of three pairs of skilled female badminton players (average age 20.5±1.38years) were captured and analyzed. Local correlation coefficient, which provides information on the relationship of players' displacement data, between each pair of players was computed for angle and distance from base position. Speed scalar product was in turn established from speed vectors of the players. The results revealed two patterns of playing behaviors (i.e., in-phase and anti-phase patterns) for movement displacement. Anti-phase relation was the dominant coupling pattern for speed scalar relationships among the pairs of players. Speed scalar product, as a collective variable, was different between cooperative and competitive plays with a greater variability in amplitude seen in competitive plays leading to a winning point. The findings from this study provide evidence for increasing stroke variability to perturb existing stable patterns of play and highlights the potential for speed scalar product to be a collective variable to distinguish different patterns of play (e.g., cooperative and competitive). Copyright © 2013 Elsevier B.V. All rights reserved.

  17. Prognosis for ecosystem recovery following rodent eradication and seabird restoration in an island archipelago.

    PubMed

    Jones, Holly P

    2010-07-01

    Invasive species are widespread and can have devastating effects on biota, especially insular biota. Invasive species eradications are increasingly employed to promote island recovery to preinvasion states. However, it remains unclear if additional restoration actions may be required on islands that were once heavily reliant on seabird guano for ecosystem functions. Active seabird augmentation has been suggested as necessary to exact ecosystem recovery on contemporary timescales in some cases. I use two experiments on offshore islands in Cook Strait, New Zealand, to test the hypothesis that seabird restoration will restore island ecosystem functioning following invasive rodent removal. The first is a small-scale single-island fertilization experiment that simulates seabird recovery. This experiment tested the recovery potential of offshore islands and was used to infer the density of seabirds needed to elicit ecosystem recovery. The second is a large-scale natural experiment that takes advantage of eight islands with differing rodent eradication and seabird restoration histories. I compared ecosystem functioning variables (delta 15N, C:N ratios in soil, plants, and spiders, as well as arthropod abundance and diversity) on two islands that had rodents eradicated and two islands undergoing seabird augmentation with two control islands (never invaded by rodents) and two positive control islands (currently invaded by rodents). The results suggest that islands do have the potential for recovery given nutrient amendments, but that islands with rodents eradicated and islands undergoing seabird augmentation have not recovered most of their ecosystem function. Finer, intra-island analysis showed that seabird restoration projects have the potential to speed the recovery process, but that the projects on the studied seabird restoration islands were not advanced enough to produce island-wide recovery. The results suggest that high seabird densities (5-10 burrows/m2) are needed to promote recovery to never-invaded control levels. Seabird augmentation, through chick translocation and/or social facilitation with decoys, vocalization playbacks, and/or mirrors can supplement passive seabird recovery on islands where seabirds have been extirpated or extremely reduced by invasive predators. Such restoration efforts may be necessary to promote ecosystem recovery on contemporary timescales.

  18. Cameron predicts dry tree production system as the future subsea trend

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

    Not Available

    1978-06-05

    Dry chambers are coming into increasing use in the search for offshore oil. With Subsea Station Cameron, an oil well can be drilled on the ocean floor and then topped with a dry production chamber for shirtsleeve work at the wellhead. Components of the station are described: production Christmas tree, chamber, adapter spool, docking plate, entry hatch, flowline connection, and variable controls. (DLC)

  19. Heat export from the tropics drives mid to late Holocene palaeoceanographic changes offshore southern Australia

    NASA Astrophysics Data System (ADS)

    Perner, Kerstin; Moros, Matthias; De Deckker, Patrick; Blanz, Thomas; Wacker, Lukas; Telford, Richard; Siegel, Herbert; Schneider, Ralph; Jansen, Eystein

    2018-01-01

    The Leeuwin Current (LC), an eastern boundary current, transports tropical waters from the Indo-Pacific Warm Pool (IPWP) towards southern latitudes and modulates oceanic conditions offshore southern Australia. New, high-resolution planktic foraminifer assemblage data and alkenone-derived sea surface temperatures (SST) provide an in-depth view on LC variability and mechanisms driving the current's properties during the mid to late Holocene (last c. 7.4 ka BP). Our marine reconstructions highlight a longer-term mid to late Holocene reduction of tropical heat export from the IPWP area into the LC. Mid Holocene (c. 7.4 to 3.5 ka BP) occurrence of high SSTs (>19.5 °C), tropical planktic foraminifera and a well-stratified water column document an enhanced heat export from the tropics. From c. 3.5 ka BP onwards, a weaker LC and a notably reduced tropical heat export cause oceanic cooling offshore southern Australia. The observed mid to late Holocene trends likely result from large-scale changes in the IPWP's heat storage linked to the El Niño-Southern Oscillation (ENSO) phenomenon. We propose that a strong and warm LC occurs in response to a La Niña-like state of ENSO during the mid Holocene. The late Holocene LC cooling, however, results from a shift towards an El Niño-like state and a more variable ENSO system that causes cooling of the IPWP. Superimposed on these longer-term trends we find evidence of distinct late Holocene millennial-scale phases of enhanced El Niño/La Niña development, which appear synchronous with northern hemispheric climatic variability. Phases of dominant El Niño-like states occur parallel to North Atlantic cold phases: the '2800 years BP cooling event', the 'Dark Ages' and the 'Little Ice Age', whereas the 'Roman Warm Period' and the 'Medieval Climate Anomaly' parallel periods of a predominant La Niña-like state. Our findings provide further evidence of coherent interhemispheric climatic and oceanic conditions during the mid to late Holocene, suggesting ENSO as a potential mediator.

  20. Desktop Publishing: The Effects of Computerized Formats on Reading Speed and Comprehension.

    ERIC Educational Resources Information Center

    Knupfer, Nancy Nelson; McIsaac, Marina Stock

    1989-01-01

    Describes study that was conducted to determine the effects of two electronic text variables used in desktop publishing on undergraduate students' reading speed and comprehension. Research on text variables, graphic design, instructional text design, and computer screen design is discussed, and further studies are suggested. (22 references) (LRW)

  1. Density dependence in demography and dispersal generates fluctuating invasion speeds

    PubMed Central

    Li, Bingtuan; Miller, Tom E. X.

    2017-01-01

    Density dependence plays an important role in population regulation and is known to generate temporal fluctuations in population density. However, the ways in which density dependence affects spatial population processes, such as species invasions, are less understood. Although classical ecological theory suggests that invasions should advance at a constant speed, empirical work is illuminating the highly variable nature of biological invasions, which often exhibit nonconstant spreading speeds, even in simple, controlled settings. Here, we explore endogenous density dependence as a mechanism for inducing variability in biological invasions with a set of population models that incorporate density dependence in demographic and dispersal parameters. We show that density dependence in demography at low population densities—i.e., an Allee effect—combined with spatiotemporal variability in population density behind the invasion front can produce fluctuations in spreading speed. The density fluctuations behind the front can arise from either overcompensatory population growth or density-dependent dispersal, both of which are common in nature. Our results show that simple rules can generate complex spread dynamics and highlight a source of variability in biological invasions that may aid in ecological forecasting. PMID:28442569

  2. Lidar arc scan uncertainty reduction through scanning geometry optimization

    DOE PAGES

    Wang, Hui; Barthelmie, Rebecca J.; Pryor, Sara C.; ...

    2016-04-13

    Doppler lidars are frequently operated in a mode referred to as arc scans, wherein the lidar beam scans across a sector with a fixed elevation angle and the resulting measurements are used to derive an estimate of the n minute horizontal mean wind velocity (speed and direction). Previous studies have shown that the uncertainty in the measured wind speed originates from turbulent wind fluctuations and depends on the scan geometry (the arc span and the arc orientation). This paper is designed to provide guidance on optimal scan geometries for two key applications in the wind energy industry: wind turbine power performance analysis and annualmore » energy production prediction. We present a quantitative analysis of the retrieved wind speed uncertainty derived using a theoretical model with the assumption of isotropic and frozen turbulence, and observations from three sites that are onshore with flat terrain, onshore with complex terrain and offshore, respectively. The results from both the theoretical model and observations show that the uncertainty is scaled with the turbulence intensity such that the relative standard error on the 10 min mean wind speed is about 30% of the turbulence intensity. The uncertainty in both retrieved wind speeds and derived wind energy production estimates can be reduced by aligning lidar beams with the dominant wind direction, increasing the arc span and lowering the number of beams per arc scan. As a result, large arc spans should be used at sites with high turbulence intensity and/or large wind direction variation.« less

  3. Lidar arc scan uncertainty reduction through scanning geometry optimization

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

    Wang, Hui; Barthelmie, Rebecca J.; Pryor, Sara C.

    Doppler lidars are frequently operated in a mode referred to as arc scans, wherein the lidar beam scans across a sector with a fixed elevation angle and the resulting measurements are used to derive an estimate of the n minute horizontal mean wind velocity (speed and direction). Previous studies have shown that the uncertainty in the measured wind speed originates from turbulent wind fluctuations and depends on the scan geometry (the arc span and the arc orientation). This paper is designed to provide guidance on optimal scan geometries for two key applications in the wind energy industry: wind turbine power performance analysis and annualmore » energy production prediction. We present a quantitative analysis of the retrieved wind speed uncertainty derived using a theoretical model with the assumption of isotropic and frozen turbulence, and observations from three sites that are onshore with flat terrain, onshore with complex terrain and offshore, respectively. The results from both the theoretical model and observations show that the uncertainty is scaled with the turbulence intensity such that the relative standard error on the 10 min mean wind speed is about 30% of the turbulence intensity. The uncertainty in both retrieved wind speeds and derived wind energy production estimates can be reduced by aligning lidar beams with the dominant wind direction, increasing the arc span and lowering the number of beams per arc scan. As a result, large arc spans should be used at sites with high turbulence intensity and/or large wind direction variation.« less

  4. Comparative biology and population mixing among local, coastal and offshore Atlantic herring (Clupea harengus) in the North Sea, Skagerrak, Kattegat and western Baltic

    PubMed Central

    Slotte, Aril; Johannessen, Arne; Kvamme, Cecilie; Clausen, Lotte Worsøe; Nash, Richard D. M.

    2017-01-01

    The population structure of Atlantic herring (Clupea harengus) from 13 local, coastal and offshore areas of the North Sea, Skagerrak, Kattegat and western Baltic (northeast Atlantic) was studied using biological and environmental data from 1970–2015. The objective was to identify distinct populations by comparing variability in the temporal and spatial phenotypic characteristics and evaluate the potential for mixing of populations in time and space. The populations varied in biological characteristics such as mean vertebral counts (VS), growth and maturity ogives. Generalized additive models indicated temporally stable VS in the North Sea and western Baltic, whereas intra-annual temporal variation of VS occurred in other areas. High variability of VS within a population was not affected by environmental factors such as temperature and salinity. Consequently, seasonal VS variability can be explained by the presence or absence of herring populations as they migrate between areas. The three main populations identified in this paper correspond to the three managed stocks in this area: Norwegian spring spawners (NSS), western Baltic spring spawners (WBSS) and North Sea autumn spawners (NSAS). In addition, several local populations were identified in fjords or lakes along the coast, but our analyses could not detect direct mixing of local populations with the three main populations. Our results highlight the importance of recognizing herring dynamics and understanding the mixing of populations as a challenge for management of herring. PMID:29084258

  5. Validation of China-wide interpolated daily climate variables from 1960 to 2011

    NASA Astrophysics Data System (ADS)

    Yuan, Wenping; Xu, Bing; Chen, Zhuoqi; Xia, Jiangzhou; Xu, Wenfang; Chen, Yang; Wu, Xiaoxu; Fu, Yang

    2015-02-01

    Temporally and spatially continuous meteorological variables are increasingly in demand to support many different types of applications related to climate studies. Using measurements from 600 climate stations, a thin-plate spline method was applied to generate daily gridded climate datasets for mean air temperature, maximum temperature, minimum temperature, relative humidity, sunshine duration, wind speed, atmospheric pressure, and precipitation over China for the period 1961-2011. A comprehensive evaluation of interpolated climate was conducted at 150 independent validation sites. The results showed superior performance for most of the estimated variables. Except for wind speed, determination coefficients ( R 2) varied from 0.65 to 0.90, and interpolations showed high consistency with observations. Most of the estimated climate variables showed relatively consistent accuracy among all seasons according to the root mean square error, R 2, and relative predictive error. The interpolated data correctly predicted the occurrence of daily precipitation at validation sites with an accuracy of 83 %. Moreover, the interpolation data successfully explained the interannual variability trend for the eight meteorological variables at most validation sites. Consistent interannual variability trends were observed at 66-95 % of the sites for the eight meteorological variables. Accuracy in distinguishing extreme weather events differed substantially among the meteorological variables. The interpolated data identified extreme events for the three temperature variables, relative humidity, and sunshine duration with an accuracy ranging from 63 to 77 %. However, for wind speed, air pressure, and precipitation, the interpolation model correctly identified only 41, 48, and 58 % of extreme events, respectively. The validation indicates that the interpolations can be applied with high confidence for the three temperatures variables, as well as relative humidity and sunshine duration based on the performance of these variables in estimating daily variations, interannual variability, and extreme events. Although longitude, latitude, and elevation data are included in the model, additional information, such as topography and cloud cover, should be integrated into the interpolation algorithm to improve performance in estimating wind speed, atmospheric pressure, and precipitation.

  6. Four quadrant control of induction motors

    NASA Technical Reports Server (NTRS)

    Hansen, Irving G.

    1991-01-01

    Induction motors are the nation's workhorse, being the motor of choice in most applications due to their simple rugged construction. It has been estimated that 14 to 27 percent of the country's total electricity use could be saved with adjustable speed drives. Until now, induction motors have not been suited well for variable speed or servo-drives, due to the inherent complexity, size, and inefficiency of their variable speed controls. Work at NASA Lewis Research Center on field oriented control of induction motors using pulse population modulation method holds the promise for the desired drive electronics. The system allows for a variable voltage to frequency ratio which enables the user to operate the motor at maximum efficiency, while having independent control of both the speed and torque of an induction motor in all four quadrants of the speed torque map. Multiple horsepower machine drives were demonstrated, and work is on-going to develop a 20 hp average, 40 hp peak class of machine. The pulse population technique, results to date, and projections for implementation of this existing new motor control technology are discussed.

  7. Predictor Variables for Marathon Race Time in Recreational Female Runners

    PubMed Central

    Schmid, Wiebke; Knechtle, Beat; Knechtle, Patrizia; Barandun, Ursula; Rüst, Christoph Alexander; Rosemann, Thomas; Lepers, Romuald

    2012-01-01

    Purpose We intended to determine predictor variables of anthropometry and training for marathon race time in recreational female runners in order to predict marathon race time for future novice female runners. Methods Anthropometric characteristics such as body mass, body height, body mass index, circumferences of limbs, thicknesses of skin-folds and body fat as well as training variables such as volume and speed in running training were related to marathon race time using bi- and multi-variate analysis in 29 female runners. Results The marathoners completed the marathon distance within 251 (26) min, running at a speed of 10.2 (1.1) km/h. Body mass (r=0.37), body mass index (r=0.46), the circumferences of thigh (r=0.51) and calf (r=0.41), the skin-fold thicknesses of front thigh (r=0.38) and of medial calf (r=0.40), the sum of eight skin-folds (r=0.44) and body fat percentage (r=0.41) were related to marathon race time. For the variables of training, maximal distance ran per week (r=− 0.38), number of running training sessions per week (r=− 0.46) and the speed of the training sessions (r= − 0.60) were related to marathon race time. In the multi-variate analysis, the circumference of calf (P=0.02) and the speed of the training sessions (P=0.0014) were related to marathon race time. Marathon race time might be partially (r 2=0.50) predicted by the following equation: Race time (min)=184.4 + 5.0 x (circumference calf, cm) –11.9 x (speed in running during training, km/h) for recreational female marathoners. Conclusions Variables of both anthropometry and training were related to marathon race time in recreational female marathoners and cannot be reduced to one single predictor variable. For practical applications, a low circumference of calf and a high running speed in training are associated with a fast marathon race time in recreational female runners. PMID:22942994

  8. Predictor variables for marathon race time in recreational female runners.

    PubMed

    Schmid, Wiebke; Knechtle, Beat; Knechtle, Patrizia; Barandun, Ursula; Rüst, Christoph Alexander; Rosemann, Thomas; Lepers, Romuald

    2012-06-01

    We intended to determine predictor variables of anthropometry and training for marathon race time in recreational female runners in order to predict marathon race time for future novice female runners. Anthropometric characteristics such as body mass, body height, body mass index, circumferences of limbs, thicknesses of skin-folds and body fat as well as training variables such as volume and speed in running training were related to marathon race time using bi- and multi-variate analysis in 29 female runners. The marathoners completed the marathon distance within 251 (26) min, running at a speed of 10.2 (1.1) km/h. Body mass (r=0.37), body mass index (r=0.46), the circumferences of thigh (r=0.51) and calf (r=0.41), the skin-fold thicknesses of front thigh (r=0.38) and of medial calf (r=0.40), the sum of eight skin-folds (r=0.44) and body fat percentage (r=0.41) were related to marathon race time. For the variables of training, maximal distance ran per week (r=- 0.38), number of running training sessions per week (r=- 0.46) and the speed of the training sessions (r= - 0.60) were related to marathon race time. In the multi-variate analysis, the circumference of calf (P=0.02) and the speed of the training sessions (P=0.0014) were related to marathon race time. Marathon race time might be partially (r(2)=0.50) predicted by the following equation: Race time (min)=184.4 + 5.0 x (circumference calf, cm) -11.9 x (speed in running during training, km/h) for recreational female marathoners. Variables of both anthropometry and training were related to marathon race time in recreational female marathoners and cannot be reduced to one single predictor variable. For practical applications, a low circumference of calf and a high running speed in training are associated with a fast marathon race time in recreational female runners.

  9. 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.

  10. Spatial distribution and vertical migrations of fish larvae communities off Northwestern Iberia sampled with LHPR and Bongo nets

    NASA Astrophysics Data System (ADS)

    Garrido, Susana; Santos, A. Miguel P.; dos Santos, Antonina; Ré, Pedro

    2009-10-01

    The spatial distribution and diel vertical migration of fish larvae were studied in relation to the environmental conditions off NW Iberia during May 2002. Larvae from 23 families were identified, the most abundant were the Clupeidae, Gobiidae, Callionymidae, Blenniidae, Sparidae and Labridae. Sardina pilchardus was the most abundant species, mean concentrations 1 order of magnitude higher than the other fish larvae species. Larval horizontal distribution was mainly related to upwelling-driven circulation, resulting in an offshore increase of larval abundance while the vertical distribution was closely associated to the Western Iberia Buoyant Plume. Despite this general trend, taxon-specific relationships between the distribution of larvae and environmental variables were observed, and temperature was an important regressor explaining the distribution of most taxa. A comparison between ichthyoplankton samples collected alternatively with the LHPR and Bongo nets resulted in captures of larvae ≈1 order of magnitude higher for the LHPR, probably related to its higher towing speed. The spatial distribution and relative composition of larvae were also different for both nets, although the most frequent/abundant groups were the same. A fixed station sampled for 69-h showed diel vertical migrations performed by the larvae, with the highest larval concentrations occurring at surface layers during the night and most larvae being found in the neuston layer only during that period.

  11. IEA Wind Task 26 - Multi-national Case Study of the Financial Cost of Wind Energy; Work Package 1 Final Report

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

    Schwabe, P.; Lensink, S.; Hand, M.

    2011-03-01

    The lifetime cost of wind energy is comprised of a number of components including the investment cost, operation and maintenance costs, financing costs, and annual energy production. Accurate representation of these cost streams is critical in estimating a wind plant's cost of energy. Some of these cost streams will vary over the life of a given project. From the outset of project development, investors in wind energy have relatively certain knowledge of the plant's lifetime cost of wind energy. This is because a wind energy project's installed costs and mean wind speed are known early on, and wind generation generallymore » has low variable operation and maintenance costs, zero fuel cost, and no carbon emissions cost. Despite these inherent characteristics, there are wide variations in the cost of wind energy internationally, which is the focus of this report. Using a multinational case-study approach, this work seeks to understand the sources of wind energy cost differences among seven countries under International Energy Agency (IEA) Wind Task 26 - Cost of Wind Energy. The participating countries in this study include Denmark, Germany, the Netherlands, Spain, Sweden, Switzerland, and the United States. Due to data availability, onshore wind energy is the primary focus of this study, though a small sample of reported offshore cost data is also included.« less

  12. Arctic Storms and Their Influence on Surface Climate in the Chukchi-Beaufort Seas

    NASA Astrophysics Data System (ADS)

    Yang, Y.; Zhang, X.; Rinke, A.; Zhang, J.

    2017-12-01

    Increases in the frequency and intensity of Arctic storms and resulting weather hazards may endanger the offshore environment, coastal community, and energy infrastructure in the Arctic as sea ice retreats. Advancing ability to identify fine-scale variations in surface climate produced by progressively stronger storm would be extremely helpful to resources management and sustainable development for coastal community. In this study, we analyzed the storms and their impacts on surface climate over the Beaufort-Chukchi seas by employing the date sets from both the hindcast simulations of the coupled Arctic regional climate model HIRHAM-NAOSIM and the recently developed Chukchi-Beaufort High-resolution Atmospheric Reanalysis (CBHAR). Based on the characteristics of spatial pattern and temporal variability of the Arctic storm activity, we categorized storms to three groups with their different origins: the East Siberia Sea, Alaska and the central Arctic Ocean. The storms originating from the central Arctic Ocean have the strongest intensity in winter with relatively less storm number. Storms traveling from Alaska to the Beaufort Sea most frequently occurred in autumn with weaker intensity. A large portion of storms originated from the East Siberia Sea region in summer. Further statistical analysis suggests that increase in surface air temperature and wind speed could be attributed to the increased frequency of storm occurrence in autumn (September to November) along the continental shelf in the Beaufort Sea.

  13. Daily variation in ingress of fall-spawned larval fishes into Delaware Bay in relation to alongshore and along-estuary wind components

    NASA Astrophysics Data System (ADS)

    Schieler, Brittany M.; Hale, Edward A.; Targett, Timothy E.

    2014-12-01

    Identifying factors that affect ingress of larval fishes from offshore spawning areas into estuarine nurseries is important to improve understanding of variability in recruitment of many coastal marine species. This study investigated the ingress of larval Atlantic croaker (Micropogonias undulatus), Atlantic menhaden (Brevoortia tyrannus), and summer flounder (Paralichthys dentatus) at Roosevelt Inlet, near the mouth of Delaware Bay, USA in relation to short-term wind events. Nightly abundances, from November 15 to December 15, 2010, were analyzed with alongshore and along-estuary wind components (direction and speed) using cross-correlation analysis to determine if winds affect larval ingress. Ingress of Atlantic croaker and summer flounder correlated with along-estuary winds, whereas Atlantic menhaden showed no significant correlations with either alongshore or along-estuary winds. Although along-estuary winds during this period were predominantly down-estuary, Atlantic croaker ingress was correlated with positive along-estuary winds (blowing up-estuary), with a three-day lag; and a particularly large ingress peak occurred following the largest up-estuary wind peak. Ingress of summer flounder was correlated with negative along-estuary winds (blowing down-estuary), with a two-day lag. These results suggest that species-specific vertical position in the water column influenced ingress into Delaware Bay. The lag results also suggest that ingressing Atlantic croaker and summer flounder may have a pooling stage outside the mouth of Delaware Bay.

  14. Time course of word production in fast and slow speakers: a high density ERP topographic study.

    PubMed

    Laganaro, Marina; Valente, Andrea; Perret, Cyril

    2012-02-15

    The transformation of an abstract concept into an articulated word is achieved through a series of encoding processes, which time course has been repeatedly investigated in the psycholinguistic and neuroimaging literature on single word production. The estimates of the time course issued from previous investigations represent the timing of process duration for mean processing speed: as production speed varies significantly across speakers, a crucial question is how the timing of encoding processing varies with speed. Here we investigated whether between-subjects variability in the speed of speech production is distributed along all encoding processes or if it is accounted for by a specific processing stage. We analysed event-related electroencephalographical (ERP) correlates during overt picture naming in 45 subjects divided into three speed subgroups according to their production latencies. Production speed modulated waveform amplitudes in the time window ranging from about 200 to 350 ms after picture presentation and the duration of a stable electrophysiological spatial configuration in the same time period. The remaining time windows from picture onset to 200 ms before articulation were unaffected by speed. By contrast, the manipulation of a psycholinguistic variable, word age-of-acquisition, modulated ERPs in all speed subgroups in a different and later time period, starting at around 400 ms after picture presentation, associated with phonological encoding processes. These results indicate that the between-subject variability in the speed of single word production is principally accounted for by the timing of a stable electrophysiological activity in the 200-350 ms time period, presumably associated with lexical selection. Copyright © 2011 Elsevier Inc. All rights reserved.

  15. Predictor variables for a half marathon race time in recreational male runners

    PubMed Central

    Rüst, Christoph Alexander; Knechtle, Beat; Knechtle, Patrizia; Barandun, Ursula; Lepers, Romuald; Rosemann, Thomas

    2011-01-01

    The aim of this study was to investigate predictor variables of anthropometry, training, and previous experience in order to predict a half marathon race time for future novice recreational male half marathoners. Eighty-four male finishers in the ‘Half Marathon Basel’ completed the race distance within (mean and standard deviation, SD) 103.9 (16.5) min, running at a speed of 12.7 (1.9) km/h. After multivariate analysis of the anthropometric characteristics, body mass index (r = 0.56), suprailiacal (r = 0.36) and medial calf skin fold (r = 0.53) were related to race time. For the variables of training and previous experience, speed in running of the training sessions (r = −0.54) were associated with race time. After multivariate analysis of both the significant anthropometric and training variables, body mass index (P = 0.0150) and speed in running during training (P = 0.0045) were related to race time. Race time in a half marathon might be partially predicted by the following equation (r2 = 0.44): Race time (min) = 72.91 + 3.045 * (body mass index, kg/m2) −3.884 * (speed in running during training, km/h) for recreational male runners. To conclude, variables of both anthropometry and training were related to half marathon race time in recreational male half marathoners and cannot be reduced to one single predictor variable. PMID:24198577

  16. Predictor variables for a half marathon race time in recreational male runners.

    PubMed

    Rüst, Christoph Alexander; Knechtle, Beat; Knechtle, Patrizia; Barandun, Ursula; Lepers, Romuald; Rosemann, Thomas

    2011-01-01

    The aim of this study was to investigate predictor variables of anthropometry, training, and previous experience in order to predict a half marathon race time for future novice recreational male half marathoners. Eighty-four male finishers in the 'Half Marathon Basel' completed the race distance within (mean and standard deviation, SD) 103.9 (16.5) min, running at a speed of 12.7 (1.9) km/h. After multivariate analysis of the anthropometric characteristics, body mass index (r = 0.56), suprailiacal (r = 0.36) and medial calf skin fold (r = 0.53) were related to race time. For the variables of training and previous experience, speed in running of the training sessions (r = -0.54) were associated with race time. After multivariate analysis of both the significant anthropometric and training variables, body mass index (P = 0.0150) and speed in running during training (P = 0.0045) were related to race time. Race time in a half marathon might be partially predicted by the following equation (r(2) = 0.44): Race time (min) = 72.91 + 3.045 * (body mass index, kg/m(2)) -3.884 * (speed in running during training, km/h) for recreational male runners. To conclude, variables of both anthropometry and training were related to half marathon race time in recreational male half marathoners and cannot be reduced to one single predictor variable.

  17. Moment-tensor inversion for offshore earthquakes east of Taiwan and their implications to regional collision

    NASA Astrophysics Data System (ADS)

    Kao, Honn; Jian, Pei-Ru; Ma, Kuo-Fong; Huang, Bor-Shouh; Liu, Chun-Chi

    Reliable determination of source parameters for offshore earthquakes east of Taiwan with mb<5.5 was a difficult task because of the poor azimuthal coverage by local network and the lack of signals at teleseismic distances. We take advantage of the recently established “Broadband Array in Taiwan for Seismology” (BATS) to invert seismic moment tensors for 7 such events occurred in 1996. To cope with different patterns of background noise and unknown structural details, we utilize variable frequency bands in the inversion and adapt a two-step procedure to select best velocity models for individual epicenter-station paths. Our results are consistent with the overall patterns of regional collision and indicate that the resulting compressive stress has caused significant intraplate deformation within the Philippine Sea plate. Simulation of the region's geological evolution and orogenic processes should take this factor into account and allow the Philippine Sea plate to deform internally.

  18. Anthropogenic sources of underwater sound can modify how sediment-dwelling invertebrates mediate ecosystem properties

    PubMed Central

    Solan, Martin; Hauton, Chris; Godbold, Jasmin A.; Wood, Christina L.; Leighton, Timothy G.; White, Paul

    2016-01-01

    Coastal and shelf environments support high levels of biodiversity that are vital in mediating ecosystem processes, but they are also subject to noise associated with mounting levels of offshore human activity. This has the potential to alter the way in which species interact with their environment, compromising the mediation of important ecosystem properties. Here, we show that exposure to underwater broadband sound fields that resemble offshore shipping and construction activity can alter sediment-dwelling invertebrate contributions to fluid and particle transport - key processes in mediating benthic nutrient cycling. Despite high levels of intra-specific variability in physiological response, we find that changes in the behaviour of some functionally important species can be dependent on the class of broadband sound (continuous or impulsive). Our study provides evidence that exposing coastal environments to anthropogenic sound fields is likely to have much wider ecosystem consequences than are presently acknowledged. PMID:26847483

  19. Experimental evaluation of fog warning system.

    PubMed

    Al-Ghamdi, Ali S

    2007-11-01

    Highway safety is a major concern to the public and to transportation professionals, so the number of crashes caused by poor visibility due to fog form an alarming statistic. Drivers respond to poor visibility conditions in different ways: some slow down; others do not. Many drivers simply follow the taillights of the vehicle ahead. Accordingly, hazardous conditions are created in which speeds are both too high for the prevailing conditions and highly variable. Findings are presented from a study of traffic crashes due to fog in the southern region of Saudi Arabia. The primary objective was to assess the effectiveness of fog detection and warning system on driver behavior regarding speed and headway. This warning system includes visibility sensors that automatically activate a variable message sign that posts an advisory speed when hazardous conditions due to fog occur. The system was installed on a 2 km section of a two-lane, rural highway. A data set of 36,013 observations from both experimental and control sections at two study sites was collected and analyzed. The data included vehicle speed, volume, and classification; time headway, time of day, and visibility distance. Although the warning system was ineffective in reducing speed variability, mean speed throughout the experimental sections was reduced by about 6.5 kph. This reduction indicates that the warning system appeared to have a positive effect on driver behavior in fog even though the observed mean speeds were still higher than the posted advisory speed. From relationships found in the literature between mean driving speed and number of crashes, a speed reduction of only 5 kph would yield a 15% decrease in the number of crashes.

  20. Optimal Operation of Variable Speed Pumping System in China's Eastern Route Project of S-to-N Water Diversion Project

    NASA Astrophysics Data System (ADS)

    Cheng, Jilin; Zhang, Lihua; Zhang, Rentian; Gong, Yi; Zhu, Honggeng; Deng, Dongsheng; Feng, Xuesong; Qiu, Jinxian

    2010-06-01

    A dynamic planning model for optimizing operation of variable speed pumping system, aiming at minimum power consumption, was proposed to achieve economic operation. The No. 4 Jiangdu Pumping Station, a source pumping station in China's Eastern Route of South-to-North Water Diversion Project, is taken as a study case. Since the sump water level of Jiangdu Pumping Station is affected by the tide of Yangtze River, the daily-average heads of the pumping system varies yearly from 3.8m to 7.8m and the tide level difference in one day up to 1.2m. Comparisons of operation electricity cost between optimized variable speed and fixed speed operations of pumping system were made. When the full load operation mode is adopted, whether or not electricity prices in peak-valley periods are considered, the benefits of variable speed operation cannot compensate the energy consumption of the VFD. And when the pumping system operates in part load and the peak-valley electricity prices are considered, the pumping system should cease operation or lower its rotational speed in peak load hours since the electricity price are much higher, and to the contrary the pumping system should raise its rotational speed in valley load hours to pump more water. The computed results show that if the pumping system operates in 80% or 60% loads, the energy consumption cost of specified volume of water will save 14.01% and 26.69% averagely by means of optimal variable speed operation, and the investment on VFD will be paid back in 2 or 3 years. However, if the pumping system operates in 80% or 60% loads and the energy cost is calculated in non peak-valley electricity price, the repayment will be lengthened up to 18 years. In China's S-to-N Water Diversion Project, when the market operation and peak-valley electricity prices are taken into effect to supply water and regulate water levels in regulation reservoirs as Hongzehu Lake, Luomahu Lake, etc. the economic operation of water-diversion pumping stations will be vital, and the adoption of VFDs to achieve optimal operation may be a good choice.

  1. Mental distress among shift workers in Norwegian offshore petroleum industry--relative influence of individual and psychosocial work factors.

    PubMed

    Ljoså, Cathrine Haugene; Tyssen, Reidar; Lau, Bjørn

    2011-11-01

    This study aimed to investigate the association between individual and psychosocial work factors and mental distress among offshore shift workers in the Norwegian petroleum industry. All 2406 employees of a large Norwegian oil and gas company, who worked offshore during a two-week period in August 2006, were invited to participate in the web-based survey. Completed questionnaires were received from 1336 employees (56% response rate). The outcome variable was mental distress, assessed with a shortened version of the Hopkins Symptom Checklist (HSCL-5). The following individual factors were adjusted for: age, gender, marital status, and shift work locus of control. Psychosocial work factors included: night work, demands, control and support, and shift work-home interference. The level of mental distress was higher among men than women. In the adjusted regression model, the following were associated with mental distress: (i) high scores on quantitative demands, (ii) low level of support, and (iii) high level of shift work-home interference. Psychosocial work factors explained 76% of the total explained variance (adjusted R (²)=0.21) in the final adjusted model. Psychosocial work factors, such as quantitative demands, support, and shift work-home interference were independently associated with mental distress. Shift schedules were only univariately associated with mental distress.

  2. Test Operations Procedure (TOP) 06-2-301 Wind Testing

    DTIC Science & Technology

    2017-06-14

    critical to ensure that the test item is exposed to the required wind speeds. This may be an iterative process as the fan blade pitch, fan speed...fan speed is the variable that is adjusted to reach the required velocities. Calibration runs with a range of fan speeds are performed and a

  3. Predicting Word Reading and Comprehension with Executive Function and Speed Measures across Development: A Latent Variable Analysis

    ERIC Educational Resources Information Center

    Christopher, Micaela E.; Miyake, Akira; Keenan, Janice M.; Pennington, Bruce; DeFries, John C.; Wadsworth, Sally J.; Willcutt, Erik; Olson, Richard K.

    2012-01-01

    The present study explored whether different executive control and speed measures (working memory, inhibition, processing speed, and naming speed) independently predict individual differences in word reading and reading comprehension. Although previous studies suggest these cognitive constructs are important for reading, the authors analyze the…

  4. Dynamic control of a homogeneous charge compression ignition engine

    DOEpatents

    Duffy, Kevin P [Metamora, IL; Mehresh, Parag [Peoria, IL; Schuh, David [Peoria, IL; Kieser, Andrew J [Morton, IL; Hergart, Carl-Anders [Peoria, IL; Hardy, William L [Peoria, IL; Rodman, Anthony [Chillicothe, IL; Liechty, Michael P [Chillicothe, IL

    2008-06-03

    A homogenous charge compression ignition engine is operated by compressing a charge mixture of air, exhaust and fuel in a combustion chamber to an autoignition condition of the fuel. The engine may facilitate a transition from a first combination of speed and load to a second combination of speed and load by changing the charge mixture and compression ratio. This may be accomplished in a consecutive engine cycle by adjusting both a fuel injector control signal and a variable valve control signal away from a nominal variable valve control signal. Thereafter in one or more subsequent engine cycles, more sluggish adjustments are made to at least one of a geometric compression ratio control signal and an exhaust gas recirculation control signal to allow the variable valve control signal to be readjusted back toward its nominal variable valve control signal setting. By readjusting the variable valve control signal back toward its nominal setting, the engine will be ready for another transition to a new combination of engine speed and load.

  5. Do attentional capacities and processing speed mediate the effect of age on executive functioning?

    PubMed

    Gilsoul, Jessica; Simon, Jessica; Hogge, Michaël; Collette, Fabienne

    2018-02-06

    The executive processes are well known to decline with age, and similar data also exists for attentional capacities and processing speed. Therefore, we investigated whether these two last nonexecutive variables would mediate the effect of age on executive functions (inhibition, shifting, updating, and dual-task coordination). We administered a large battery of executive, attentional and processing speed tasks to 104 young and 71 older people, and we performed mediation analyses with variables showing a significant age effect. All executive and processing speed measures showed age-related effects while only the visual scanning task performance (selective attention) was explained by age when controlled for gender and educational level. Regarding mediation analyses, visual scanning partially mediated the age effect on updating while processing speed partially mediated the age effect on shifting, updating and dual-task coordination. In a more exploratory way, inhibition was also found to partially mediate the effect of age on the three other executive functions. Attention did not greatly influence executive functioning in aging while, in agreement with the literature, processing speed seems to be a major mediator of the age effect on these processes. Interestingly, the global pattern of results seems also to indicate an influence of inhibition but further studies are needed to confirm the role of that variable as a mediator and its relative importance by comparison with processing speed.

  6. TOWARD QUANTITATIVE OPTICAL COHERENCE TOMOGRAPHY ANGIOGRAPHY: Visualizing Blood Flow Speeds in Ocular Pathology Using Variable Interscan Time Analysis.

    PubMed

    Ploner, Stefan B; Moult, Eric M; Choi, WooJhon; Waheed, Nadia K; Lee, ByungKun; Novais, Eduardo A; Cole, Emily D; Potsaid, Benjamin; Husvogt, Lennart; Schottenhamml, Julia; Maier, Andreas; Rosenfeld, Philip J; Duker, Jay S; Hornegger, Joachim; Fujimoto, James G

    2016-12-01

    Currently available optical coherence tomography angiography systems provide information about blood flux but only limited information about blood flow speed. The authors develop a method for mapping the previously proposed variable interscan time analysis (VISTA) algorithm into a color display that encodes relative blood flow speed. Optical coherence tomography angiography was performed with a 1,050 nm, 400 kHz A-scan rate, swept source optical coherence tomography system using a 5 repeated B-scan protocol. Variable interscan time analysis was used to compute the optical coherence tomography angiography signal from B-scan pairs having 1.5 millisecond and 3.0 milliseconds interscan times. The resulting VISTA data were then mapped to a color space for display. The authors evaluated the VISTA visualization algorithm in normal eyes (n = 2), nonproliferative diabetic retinopathy eyes (n = 6), proliferative diabetic retinopathy eyes (n = 3), geographic atrophy eyes (n = 4), and exudative age-related macular degeneration eyes (n = 2). All eyes showed blood flow speed variations, and all eyes with pathology showed abnormal blood flow speeds compared with controls. The authors developed a novel method for mapping VISTA into a color display, allowing visualization of relative blood flow speeds. The method was found useful, in a small case series, for visualizing blood flow speeds in a variety of ocular diseases and serves as a step toward quantitative optical coherence tomography angiography.

  7. Running speed during training and percent body fat predict race time in recreational male marathoners.

    PubMed

    Barandun, Ursula; Knechtle, Beat; Knechtle, Patrizia; Klipstein, Andreas; Rüst, Christoph Alexander; Rosemann, Thomas; Lepers, Romuald

    2012-01-01

    Recent studies have shown that personal best marathon time is a strong predictor of race time in male ultramarathoners. We aimed to determine variables predictive of marathon race time in recreational male marathoners by using the same characteristics of anthropometry and training as used for ultramarathoners. Anthropometric and training characteristics of 126 recreational male marathoners were bivariately and multivariately related to marathon race times. After multivariate regression, running speed of the training units (β = -0.52, P < 0.0001) and percent body fat (β = 0.27, P < 0.0001) were the two variables most strongly correlated with marathon race times. Marathon race time for recreational male runners may be estimated to some extent by using the following equation (r (2) = 0.44): race time ( minutes) = 326.3 + 2.394 × (percent body fat, %) - 12.06 × (speed in training, km/hours). Running speed during training sessions correlated with prerace percent body fat (r = 0.33, P = 0.0002). The model including anthropometric and training variables explained 44% of the variance of marathon race times, whereas running speed during training sessions alone explained 40%. Thus, training speed was more predictive of marathon performance times than anthropometric characteristics. The present results suggest that low body fat and running speed during training close to race pace (about 11 km/hour) are two key factors for a fast marathon race time in recreational male marathoner runners.

  8. Organic waste impact of capture-based Atlantic bluefin tuna aquaculture at an exposed site in the Mediterranean Sea

    NASA Astrophysics Data System (ADS)

    Vezzulli, Luigi; Moreno, Mariapaola; Marin, Valentina; Pezzati, Elisabetta; Bartoli, Marco; Fabiano, Mauro

    2008-06-01

    A variety of pelagic and benthic parameters were measured at an aquaculture farm used for the fattening of Atlantic bluefin tuna ( Thunnus thynnus) which is located at an exposed site (700 m from the coast, average bottom depth of 45 m and average current speed of 6 cm s -1) in the Mediterranean Sea. The objective was to test whether modern off-shore tuna fattening industries can exert a sustainable organic waste impact on the receiving environment as has been reported for the offshore culture of more traditional Mediterranean species such as sparids. In the water column, the concentration of phytopigments, organic matter, heterotrophic bacteria and the taxonomic abundance of mesozooplankton (at the species level) were assessed. In the sediment, we assessed the concentration of reduced sulphur pools, phytopigments, organic matter, heterotrophic bacteria and the taxonomic abundance of meiofauna (at the taxa level) and nematodes (at the genus level). For most parameters, we found no substantial differences between farm and control sites. Deviations of farm values from control values, when they occurred, were small and did not indicate any significant impact on either the pelagic and benthic environment. Deviations were more apparent in the benthic compartment where lower redox potential values, higher bacterial production rates and a change in nematode genus composition pointed out to early changes in the sediment's metabolism. In addition, indigenous potential pathogenic bacteria showed higher concentration at the fish farm stations and were a warning of an undesirable event that may become established following aquaculture practice in oligotrophic environments. The overall data from this study provide extensive experimental evidence to support the sustainability of modern offshore farming technology in minimizing the hypertrophic-dystrophic risks associated with the rapidly-expanding tuna-fattening industry in the Mediterranean Sea.

  9. Parameterization of wind turbine impacts on hydrodynamics and sediment transport

    NASA Astrophysics Data System (ADS)

    Rivier, Aurélie; Bennis, Anne-Claire; Pinon, Grégory; Magar, Vanesa; Gross, Markus

    2016-10-01

    Monopile foundations of offshore wind turbines modify the hydrodynamics and sediment transport at local and regional scales. The aim of this work is to assess these modifications and to parameterize them in a regional model. In the present study, this is achieved through a regional circulation model, coupled with a sediment transport module, using two approaches. One approach is to explicitly model the monopiles in the mesh as dry cells, and the other is to parameterize them by adding a drag force term to the momentum and turbulence equations. Idealised cases are run using hydrodynamical conditions and sediment grain sizes typical from the area located off Courseulles-sur-Mer (Normandy, France), where an offshore windfarm is under planning, to assess the capacity of the model to reproduce the effect of the monopile on the environment. Then, the model is applied to a real configuration on an area including the future offshore windfarm of Courseulles-sur-Mer. Four monopiles are represented in the model using both approaches, and modifications of the hydrodynamics and sediment transport are assessed over a tidal cycle. In relation to local hydrodynamic effects, it is observed that currents increase at the side of the monopile and decrease in front of and downstream of the monopile. In relation to sediment transport effect, the results show that resuspension and erosion occur around the monopile in locations where the current speed increases due to the monopile presence, and sediments deposit downstream where the bed shear stress is lower. During the tidal cycle, wakes downstream of the monopile reach the following monopile and modify the velocity magnitude and suspended sediment concentration patterns around the second monopile.

  10. Damage to offshore infrastructure in the Gulf of Mexico by hurricanes Katrina and Rita

    NASA Astrophysics Data System (ADS)

    Cruz, A. M.; Krausmann, E.

    2009-04-01

    The damage inflicted by hurricanes Katrina and Rita to the Gulf-of-Mexico's (GoM) oil and gas production, both onshore and offshore, has shown the proneness of industry to Natech accidents (natural hazard-triggered hazardous-materials releases). In order to contribute towards a better understanding of Natech events, we assessed the damage to and hazardous-materials releases from offshore oil and natural-gas platforms and pipelines induced by hurricanes Katrina and Rita. Data was obtained through a review of published literature and interviews with government officials and industry representatives from the affected region. We also reviewed over 60,000 records of reported hazardous-materials releases from the National Response Center's (NRC) database to identify and analyze the hazardous-materials releases directly attributed to offshore oil and gas platforms and pipelines affected by the two hurricanes. Our results show that hurricanes Katrina and Rita destroyed at least 113 platforms, and severely damaged at least 53 others. Sixty percent of the facilities destroyed were built 30 years ago or more prior to the adoption of the more stringent design standards that went into effect after 1977. The storms also destroyed 5 drilling rigs and severely damaged 19 mobile offshore drilling units (MODUs). Some 19 MODUs lost their moorings and became adrift during the storms which not only posed a danger to existing facilities but the dragging anchors also damaged pipelines and other infrastructure. Structural damage to platforms included toppling of sections, and tilting or leaning of platforms. Possible causes for failure of structural and non-structural components of platforms included loading caused by wave inundation of the deck. Failure of rigs attached to platforms was also observed resulting in significant damage to the platform or adjacent infrastructure, as well as damage to equipment, living quarters and helipads. The failures are attributable to tie-down components and occurred on both fixed and floating platforms. The total number of pipelines damaged by Hurricanes Katrina and Rita as of May 1, 2006, was 457. Pipeline damage was mostly caused by damage or failure of the host platform or its development and production piping, the impact of dragging and displaced objects, and pipeline interaction at a crossing. Damage to pipelines was a major contributing factor in delaying start up of offshore oil and gas production. During our analysis of the NRC database we identified 611 reported hazardous-materials releases directly attributed to offshore platforms and pipelines affected by the two hurricanes. There were twice as many releases during Hurricane Katrina than during Rita; 80% or more of the releases reported in the NRC database occurred from platforms. Our analysis suggests that the majority of releases were petroleum products, such as crude oil and condensate, followed by natural gas. In both Katrina and Rita, releases were more likely in the front, right quadrant of the storm. Storm-surge values were highest closer to the coastline. This may help explain the higher number of releases in shallow waters. The higher number of hazardous-materials releases from platforms during Katrina may partly be attributed to the higher wind speeds for this storm as it approached land.

  11. Variability of gait, bilateral coordination, and asymmetry in women with fibromyalgia.

    PubMed

    Heredia-Jimenez, J; Orantes-Gonzalez, E; Soto-Hermoso, V M

    2016-03-01

    To analyze how fibromyalgia affected the variability, asymmetry, and bilateral coordination of gait walking at comfortable and fast speeds. 65 fibromyalgia (FM) patients and 50 healthy women were analyzed. Gait analysis was performed using an instrumented walkway (GAITRite system). Average walking speed, coefficient of variation (CV) of stride length, swing time, and step width data were obtained and bilateral coordination and gait asymmetry were analyzed. FM patients presented significantly lower speeds than the healthy group. FM patients obtained significantly higher values of CV_StrideLength (p=0.04; p<0.001), CV_SwingTime (p<0.001; p<0.001), CV_StepWidth (p=0.004; p<0.001), phase coordination index (p=0.01; p=0.03), and p_CV (p<0.001; p=0.001) than the control group, walking at comfortable or fast speeds. Gait asymmetry only showed significant differences in the fast condition. FM patients walked more slowly and presented a greater variability of gait and worse bilateral coordination than healthy subjects. Gait asymmetry only showed differences in the fast condition. The variability and the bilateral coordination were particularly affected by FM in women. Therefore, variability and bilateral coordination of gait could be analyzed to complement the gait evaluation of FM patients. Copyright © 2016 Elsevier B.V. All rights reserved.

  12. Description and test results of a variable speed, constant frequency generating system

    NASA Astrophysics Data System (ADS)

    Brady, F. J.

    1985-12-01

    The variable-speed, constant frequency generating system developed for the Mod-0 wind turbine is presented. This report describes the system as it existed at the conclusion of the project. The cycloconverter control circuit is described including the addition of field-oriented control. The laboratory test and actual wind turbine test results are included.

  13. EXPERIMENTAL DEVELOPMENT OF VARIABILITY IN READING RATE IN GRADES FOUR, FIVE AND SIX.

    ERIC Educational Resources Information Center

    HARRIS, THEODORE L.; AND OTHERS

    METHODS OF TESTING, EVALUATING, AND TEACHING READING IN THE FOURTH, FIFTH AND SIXTH GRADES ARE DESCRIBED. CONSTRUCTION AND DESIGN OF EXPERIMENTAL TESTS OF VARIABILITY IN READING SPEED ARE DISCUSSED. DESIGN WAS BASED ON THE RATIONALE THAT A MEANINGFUL READING-TIME SCORE DIRECTLY RELATED TO THE SUBJECT'S PURPOSE FOR READING. WHILE READING SPEED MAY…

  14. A robust variable sampling time BLDC motor control design based upon μ-synthesis.

    PubMed

    Hung, Chung-Wen; Yen, Jia-Yush

    2013-01-01

    The variable sampling rate system is encountered in many applications. When the speed information is derived from the position marks along the trajectory, one would have a speed dependent sampling rate system. The conventional fixed or multisampling rate system theory may not work in these cases because the system dynamics include the uncertainties which resulted from the variable sampling rate. This paper derived a convenient expression for the speed dependent sampling rate system. The varying sampling rate effect is then translated into multiplicative uncertainties to the system. The design then uses the popular μ-synthesis process to achieve a robust performance controller design. The implementation on a BLDC motor demonstrates the effectiveness of the design approach.

  15. A Robust Variable Sampling Time BLDC Motor Control Design Based upon μ-Synthesis

    PubMed Central

    Yen, Jia-Yush

    2013-01-01

    The variable sampling rate system is encountered in many applications. When the speed information is derived from the position marks along the trajectory, one would have a speed dependent sampling rate system. The conventional fixed or multisampling rate system theory may not work in these cases because the system dynamics include the uncertainties which resulted from the variable sampling rate. This paper derived a convenient expression for the speed dependent sampling rate system. The varying sampling rate effect is then translated into multiplicative uncertainties to the system. The design then uses the popular μ-synthesis process to achieve a robust performance controller design. The implementation on a BLDC motor demonstrates the effectiveness of the design approach. PMID:24327804

  16. Modelling and control algorithms of the cross conveyors line with multiengine variable speed drives

    NASA Astrophysics Data System (ADS)

    Cheremushkina, M. S.; Baburin, S. V.

    2017-02-01

    The paper deals with the actual problem of developing the control algorithm that meets the technical requirements of the mine belt conveyors, and enables energy and resource savings taking into account a random sort of traffic. The most effective method of solution of these tasks is the construction of control systems with the use of variable speed drives for asynchronous motors. The authors designed the mathematical model of the system ‘variable speed multiengine drive - conveyor - control system of conveyors’ that takes into account the dynamic processes occurring in the elements of the transport system, provides an assessment of the energy efficiency of application the developed algorithms, which allows one to reduce the dynamic overload in the belt to 15-20%.

  17. The role of wind field induced flow velocities in destratification and hypoxia reduction at Meiling Bay of large shallow Lake Taihu, China.

    PubMed

    Jalil, Abdul; Li, Yiping; Du, Wei; Wang, Wencai; Wang, Jianwei; Gao, Xiaomeng; Khan, Hafiz Osama Sarwar; Pan, Baozhu; Acharya, Kumud

    2018-01-01

    Wind induced flow velocity patterns and associated thermal destratification can drive to hypoxia reduction in large shallow lakes. The effects of wind induced hydrodynamic changes on destratification and hypoxia reduction were investigated at the Meiling bay (N 31° 22' 56.4″, E 120° 9' 38.3″) of Lake Taihu, China. Vertical flow velocity profile analysis showed surface flow velocities consistency with the wind field and lower flow velocity profiles were also consistent (but with delay response time) when the wind speed was higher than 6.2 m/s. Wind field and temperature found the control parameters for hypoxia reduction and for water quality conditions at the surface and bottom profiles of lake. The critical temperature for hypoxia reduction at the surface and the bottom profile was ≤24.1C° (below which hypoxic conditions were found reduced). Strong prevailing wind field (onshore wind directions ESE, SE, SSE and E, wind speed ranges of 2.4-9.1 m/s) reduced the temperature (22C° to 24.1C°) caused reduction of hypoxia at the near surface with a rise in water levels whereas, low to medium prevailing wind field did not supported destratification which increased temperature resulting in increased hypoxia. Non-prevailing wind directions (offshore) were not found supportive for the reduction of hypoxia in study area due to less variable wind field. Daytime wind field found more variable (as compared to night time) which increased the thermal destratification during daytime and found supportive for destratification and hypoxia reduction. The second order exponential correlation found between surface temperature and Chlorophyll-a (R 2 : 0.2858, Adjusted R-square: 0.2144 RMSE: 4.395), Dissolved Oxygen (R 2 : 0.596, Adjusted R-square: 0.5942, RMSE: 0.3042) concentrations. The findings of the present study reveal the driving mechanism of wind induced thermal destratification and hypoxic conditions, which may further help to evaluate the wind role in eutrophication process and algal blooms formation in shallow water environments. Wind field is the key control factor for thermal destratification and hypoxia reduction. 24.1C° is the critical/threshold temperature for hypoxia, Chlorophyll-a and NH 3 -N concentrations of the shallow freshwater lake. Copyright © 2017. Published by Elsevier Ltd.

  18. The turbulent mean-flow, Reynolds-stress, and heat flux equations in mass-averaged dependent variables

    NASA Technical Reports Server (NTRS)

    Rubesin, M. W.; Rose, W. C.

    1973-01-01

    The time-dependent, turbulent mean-flow, Reynolds stress, and heat flux equations in mass-averaged dependent variables are presented. These equations are given in conservative form for both generalized orthogonal and axisymmetric coordinates. For the case of small viscosity and thermal conductivity fluctuations, these equations are considerably simpler than the general Reynolds system of dependent variables for a compressible fluid and permit a more direct extension of low speed turbulence modeling to computer codes describing high speed turbulence fields.

  19. Association of speed of onset and speed of recovery of depressive episodes in patients with major depression.

    PubMed

    Strauss, Maria; Mergl, Roland; Sander, Christian; Schönknecht, Peter; Hegerl, Ulrich

    2015-01-01

    Depressive episodes show large interindividual differences concerning their speed of onset and speed of recovery, which might suggest differences in underlying pathophysiological processes. The aim of the present study was to assess whether there is a relationship between the speed of onset and the speed of recovery from depressive episodes. The speed of onset and the speed of recovery from depression were assessed using a structured patient interview, the Onset of Depression Inventory (ODI). In total, 28 patients with bipolar depression and 91 patients with unipolar depression were included. The mean speed of onset of depression was significantly faster than the mean speed of recovery from depression (35.25, range 0-360 days vs. 59.60, range 0.13-720 days; Z = -3.40; p = 0.001). The correlation between these variables was positive, but numerically low (ρ = 0.22; p = 0.016). The speed of onset of the previous episode and that of the present episode were significantly correlated (ρ = 0.45; p < 0.001). Data are based on retrospective patient reports within a naturalistic study. While the speed of onset of depressive episodes has been found to show large interindividual variability and some intraindividual stability, the data of this study do not indicate that the neurobiological processes involved in the onset of and in the recovery from depressive episodes are closely linked. © 2014 S. Karger AG, Basel.

  20. Observations and modelling of shoreline and multiple sandbar behaviour on a high-energy meso-tidal beach

    NASA Astrophysics Data System (ADS)

    Splinter, Kristen D.; Gonzalez, Maria V. G.; Oltman-Shay, Joan; Rutten, Jantien; Holman, Robert

    2018-05-01

    This contribution describes 10 years of observed sandbar and shoreline cross-shore position variability at a meso-tidal, high energy, multiple sandbar beach. To examine relationships between the temporal variability in shoreline/sandbar position with offshore wave forcing, a simple equilibrium model is applied to these data. The analysis presented in this paper shows that the equilibrium model is skilled at predicting the alongshore-averaged, time-varying position of the shoreline (R = 0.82) and the outer sandbar position (R = 0.75), suggesting that these end members of the nearshore sediment system are most strongly influenced by offshore wave forcing in a predictable, equilibrium-forced manner. The middle and inner bars are hypothesized to act as sediment transport pathways between the shoreline and the outer bar. Prediction of these more transient features by an equilibrium model was less skilful. Model coefficients reveal that these two end members (outer bar and shoreline) in the sediment system act in opposite directions to changes in the annual offshore wave forcing. During high wave events, sediment is removed from the shoreline and deposited in the nearshore sediment system with simultaneous landward retreat of the shoreline and offshore migration of the outer sandbar. While both end member features have cycles at annual and inter-annual scales, their respective equilibrium response factor differs by almost a factor of 10, with the shoreline responding around an inter-annual mean (ϕ = 1000 days) and the outer bar responding around a seasonal mean (ϕ = 170 days). The model accurately predicts shoreline response to both mild (e.g. 2004/05, 2008/09) and extreme (e.g. 2005/06, 2009/10) winter storms, as well as their summer recovery. The more mobile and dynamic outer sandbar is well-modelled during typical winters. Summer onshore sandbar migration of the outer bar in 2005 and 2006 is under-predicted as the system transitioned between a triple (winter) and double (summer) sandbar system. The changing of the number of bars present in the system is something that this simple model cannot predict. Analysis of the data suggests that this multi-bar system adjusts its cross-shore seasonal movement when there is a significant change in the sediment supply to the system (e.g., nourishment projects, severe storms).

  1. Student Support for Studies of the Covariance of Fluorescent Coralline Pigments Under Changing Environmental Conditions

    DTIC Science & Technology

    2002-09-30

    sunscreen for the zooxanthellae . A surprising outcome of this experiment was the resilience exhibited by these particular specimens of Montastraea...the remaining three corals died. This variable response to the thermal stress prompted an interest in the genotypic nature of the zooxanthellae ...conditions inhospitable to other taxa of zooxanthellae . Symbiodinium E is uncommon in offshore reefs and in the Bahamas (N. Knowlton, Scripps

  2. GPS-tracking and colony observations reveal variation in offshore habitat use and foraging ecology of breeding Sandwich Terns

    NASA Astrophysics Data System (ADS)

    Fijn, R. C.; de Jong, J.; Courtens, W.; Verstraete, H.; Stienen, E. W. M.; Poot, M. J. M.

    2017-09-01

    Breeding success of seabirds critically depends on their foraging success offshore. However, studies combining at-sea tracking and visual provisioning observations are scarce, especially for smaller species of seabirds. This study is the first in which breeding Sandwich Terns were tracked with GPS-loggers to collect detailed data on foraging habitat use in four breeding seasons. The maximum home range of individual Sandwich Terns comprised approximately 1900 km2 and the average foraging range was 27 km. Trip durations were on average 135 min with average trip lengths of 67 km. Actual foraging behaviour comprised 35% of the time budget of a foraging trip. Substantial year-to-year variation was found in habitat use and trip variables, yet with the exception of 2012, home range size remained similar between years. Food availability, chick age and environmental conditions are proposed as the main driving factors between inter- and intra-annual variations in trip variables. Our multi-method approach also provided geo-referenced information on prey presence and we conclude that future combining of colony observations and GPS-loggers deployments can potentially provide a near complete insight into the feeding ecology of breeding Sandwich Terns, including the behaviour of birds at sea.

  3. Nonlinear internal waves in the Gulf of Guinea: observations and modeling

    NASA Astrophysics Data System (ADS)

    Baquet, Emeric; Pichon, Annick; Raynaud, Stephane; Carton, Xavier

    2017-04-01

    Nonlinear internal waves are known hazards to offshore operations. They have been observed at different locations around the world and have been studied for a long time in Southeast Asia. However in West Africa, they are less documented. This research presents original data of currentmeters in northeastern part of the Gulf of Guinea, in the vicinity of offshore oil platforms. Nonlinear internal waves were observed. Their characteristics were determined under the assumptions of the weakly nonlinear and non-hydrostatic Korteweg-de Vries equation. Their directions of propagation were studied to determine generation zones. The monthly distribution was shown to assess seasonal variability. Their main generation mechanism was the barotropic tides over the shelf break, but other processes were at work too. The seasonal variability due to the monsoon, river discharges also played a part in the nonlinear internal wave dynamics. Since several processes, of different time and space scales, are at work, interactions between them must be investigated. Thus, a two-layered numerical model was used to reproduce nonlinear internal waves. Sensitivity experiments were made, in order to investigate the balance between nonlinearities, Coriolis and non-hydrostatic dispersions. The impact of non-uniform bathymetry and the presence of another flow in addition to the tides were also tested.

  4. Do Offshore Wind Farms Influence Marine Primary Production?

    NASA Astrophysics Data System (ADS)

    Tweddle, J. F.; Murray, R. B. O.; Gubbins, M.; Scott, B. E.

    2016-02-01

    Primary producers (phytoplankton) form the basis of marine food-webs, supporting production of higher trophic levels, and act as a sink of CO2. We considered the impact of proposed large scale offshore wind farms in moderately deep waters (> 45 m) off the east coast of Scotland on rates of primary production. A 2 stage modelling process was used, employing state-of-the-art 3-D hydrographic models with the ability to capture flow at the spatial resolution of 10 m combined with 1-D vertical modelling using 7 years of local forcing data. Through influencing the strength of stratification via changes in current flow, large (100 m) modelled wind turbine foundations had a significant effect on primary producers, consistently reducing total annual primary production, although within the range of natural interannual variability. The percentage reduction was largest over submarine banks less than 54 m in depth, and was outside the range of natural interannual variability. Smaller (10 m) turbine foundations had no discernible effect on total annual primary production. The results indicate that smaller foundations should be favored as a mitigation measure, in terms of effects on primary production, and this type of analysis should be considered within sectoral planning and licensing processes for future renewable energy developments.

  5. Oceanic Transport of Surface Meltwater from the Southern Greenland Ice Sheet

    NASA Technical Reports Server (NTRS)

    Luo, Hao; Castelao, Renato M.; Rennermalm, Asa K.; Tedesco, Marco; Bracco, Annalisa; Yager, Patricia L.; Mote, Thomas L.

    2016-01-01

    The Greenland ice sheet has undergone accelerating mass losses during recent decades. Freshwater runoff from ice melt can influence fjord circulation and dynamic1 and the delivery of bioavailable micronutrients to the ocean. It can also have climate implications, because stratification in the adjacent Labrador Sea may influence deep convection and the strength of the Atlantic meridional overturning circulation. Yet, the fate of the meltwater in the ocean remains unclear. Here, we use a high-resolution ocean model to show that only 1-15% of the surface meltwater runoff originating from southwest Greenland is transported westwards. In contrast, up to 50-60% of the meltwater runoff originating from southeast Greenland is transported westwards into the northern Labrador Sea, leading to significant salinity and stratification anomalies far from the coast. Doubling meltwater runoff, as predicted in future climate scenarios, results in a more-than-double increase in anomalies offshore that persists further into the winter. Interannual variability in offshore export of meltwater is tightly related to variability in wind forcing. The new insight that meltwaters originating from the west and east coasts have different fates indicates that future changes in mass loss rates and surface runoff will probably impact the ocean differently, depending on their Greenland origins.

  6. Evolution and Reduction of Scour around Offshore Wind Turbines

    NASA Astrophysics Data System (ADS)

    McGovern, David; Ilic, Suzana

    2010-05-01

    Evolution and Reduction of Scour around Offshore Wind Turbines In response to growing socio-economic and environmental demands, electricity generation through offshore wind turbine farms is a fast growing sector of the renewable energy market. Considerable numbers of offshore wind farms exist in the shallow continental shelf seas of the North-West Europe, with many more in the planning stages. Wind energy is harnessed by large rotating blades that drive an electricity generating turbine placed on top of a long cylindrical monopile that are driven into the sea-bed, well into the bed rock below the sediment. Offshore wind turbines are popular due to consistently higher wind speeds and lower visual impact than their onshore counter parts, but their construction and maintenance is not without its difficulties. The alteration of flow by the presence of the wind turbine monopile results in changes in sedimentary processes and morphology at its base. The increase in flow velocity and turbulence causes an amplification of bed shear stress and this can result in the creation of a large scour hole at the monopile base. Such a scour hole can adversely affect the structural integrity and hence longevity of the monopile. Changes to the sea bed caused by this may also locally affect the benthic habitat. We conducted an extensive series of rigid and mobile bed experiments to examine the process of scour under tidal currents. We also test the effectiveness of a flow-altering collared monopile in reducing scour. Firstly, we used Particle Image Velocimetry (PIV) and Acoustic Doppler Velocimetry (ADV) to visualise and analyse the flow and turbulence properties in the local flow around the monopile and collared monopile over a smooth rigid bed under tidal flow. The measured flow, turbulence and shear stress properties are related to mobile bed tests where a Seatek 5 MHz Ultrasonic Ranging system is used to identify the evolution of scour under reversing tidal currents. The tidal evolution of the scour hole around the monopile is compared with that under unidirectional currents and that around the collared monopile. Results show that the evolution of scour under tidal currents is quite different than that of a unidirectional current and that the scour hole shape is also more symmetrical than the scour hole under a unidirectional current, which is quite asymmetrical. Results also indicate that the collared monopile design is effective in reducing the depth of scour that occurs at its base. This data will also be used for a validation of the numerical model of scour processes around the pile. Key words: Monopile, Scour, Tidal Flow, Scour Reduction

  7. Magnetic mapping for structural geology and geothermal exploration in Guadeloupe, Lesser Antilles

    NASA Astrophysics Data System (ADS)

    Mercier de Lépinay, jeanne; munschy, marc; geraud, yves; diraison, marc; navelot, vivien; verati, christelle; corsini, michel; lardeaux, jean marc; favier, alexiane

    2017-04-01

    This work is implemented through the GEOTREF program which benefits from the support of both the ADEME and the French public funds "Investments for the future". The program focuses on the exploration for geothermal resources in Guadeloupe, Lesser Antilles, where a geothermal power plant is in production since 1986 (Bouillante, Basse Terre). In Les Saintes archipelago, in the south of Guadeloupe, the outcrop analysis of Terre-de-Haut Island allows to point out an exhumed geothermal paleo-system that is thought to be an analogue of the Bouillante active geothermal system. We show that a detailed marine magnetic survey with a quantitative interpretation can bring information about the offshore structures around Les Saintes archipelago in order to extend the geological limits and structural elements. A similar survey and workflow is also conducted offshore Basse-Terre where more geophysical data is already available. In order to correctly link the offshore and onshore structures, the magnetic survey must be close enough to the shoreline and sufficiently detailed to correctly outline the tectonic structures. An appropriate solution for such a survey is to use a three component magnetometer aboard a speedboat. Such a boat allows more navigation flexibility than a classic oceanic vessel towing a magnetometer; it can sail at higher speed on calm seas and closer to the shoreline. This kind of magnetic acquisition is only viable because the magnetic effect of the ship can be compensated using the same algorithms than those used for airborne magnetometry. The use of potential field transforms allows a large variety of structures to be highlighted, providing insights to build a general understanding of the nature and distribution of the magnetic sources. In particular, we use the tilt angle operator to better identify the magnetic lineaments offshore in order to compare them to the faults identified onshore during the outcrop analysis. All the major faults and fractures directions observed onshore are well represented through the magnetic lineaments except the main N90-110 system which is almost inexistent. We also invert the magnetic data to obtain a magnetization intensity map. This inversion assumes a constant depth magnetized layer and a constant magnetization's direction. The calculated variations on the map are consistent with on-field measurements showing that hydrothermalized rocks have a lower magnetic susceptibility (2 orders of magnitude) than fresh ones. Our interpretation and the onshore structural and petrographic analysis allow us to recognize the offshore extension of the hydrothermalized area, as well as different structural orientations.

  8. Prediction of half-marathon race time in recreational female and male runners.

    PubMed

    Knechtle, Beat; Barandun, Ursula; Knechtle, Patrizia; Zingg, Matthias A; Rosemann, Thomas; Rüst, Christoph A

    2014-01-01

    Half-marathon running is of high popularity. Recent studies tried to find predictor variables for half-marathon race time for recreational female and male runners and to present equations to predict race time. The actual equations included running speed during training for both women and men as training variable but midaxillary skinfold for women and body mass index for men as anthropometric variable. An actual study found that percent body fat and running speed during training sessions were the best predictor variables for half-marathon race times in both women and men. The aim of the present study was to improve the existing equations to predict half-marathon race time in a larger sample of male and female half-marathoners by using percent body fat and running speed during training sessions as predictor variables. In a sample of 147 men and 83 women, multiple linear regression analysis including percent body fat and running speed during training units as independent variables and race time as dependent variable were performed and an equation was evolved to predict half-marathon race time. For men, half-marathon race time might be predicted by the equation (r(2) = 0.42, adjusted r(2) = 0.41, SE = 13.3) half-marathon race time (min) = 142.7 + 1.158 × percent body fat (%) - 5.223 × running speed during training (km/h). The predicted race time correlated highly significantly (r = 0.71, p < 0.0001) to the achieved race time. For women, half-marathon race time might be predicted by the equation (r(2) = 0.68, adjusted r(2) = 0.68, SE = 9.8) race time (min) = 168.7 + 1.077 × percent body fat (%) - 7.556 × running speed during training (km/h). The predicted race time correlated highly significantly (r = 0.89, p < 0.0001) to the achieved race time. The coefficients of determination of the models were slightly higher than for the existing equations. Future studies might include physiological variables to increase the coefficients of determination of the models.

  9. Movement measurements at home for multiple sclerosis: walking speed measured by a novel ambient measurement system.

    PubMed

    Smith, Victoria Mj; Varsanik, Jonathan S; Walker, Rachel A; Russo, Andrew W; Patel, Kevin R; Gabel, Wendy; Phillips, Glenn A; Kimmel, Zebadiah M; Klawiter, Eric C

    2018-01-01

    Gait disturbance is a major contributor to clinical disability in multiple sclerosis (MS). A sensor was developed to assess walking speed at home for people with MS using infrared technology in real-time without the use of wearables. To develop continuous in-home outcome measures to assess gait in adults with MS. Movement measurements were collected continuously for 8 months from six people with MS. Average walking speed and peak walking speed were calculated from movement data, then analyzed for variability over time, by room (location), and over the course of the day. In-home continuous gait outcomes and variability were correlated with standard in-clinic gait outcomes. Measured in-home average walking speed of participants ranged from 0.33 m/s to 0.96 m/s and peak walking speed ranged from 0.89 m/s to 1.51 m/s. Mean total within-participant coefficient of variation for daily average walking speed and peak walking speed were 10.75% and 10.93%, respectively. Average walking speed demonstrated a moderately strong correlation with baseline Timed 25-Foot Walk (r s  = 0.714, P  = 0.111). New non-wearable technology provides reliable and continuous in-home assessment of walking speed.

  10. System solution to improve energy efficiency of HVAC systems

    NASA Astrophysics Data System (ADS)

    Chretien, L.; Becerra, R.; Salts, N. P.; Groll, E. A.

    2017-08-01

    According to recent surveys, heating and air conditioning systems account for over 45% of the total energy usage in US households. Three main types of HVAC systems are available to homeowners: (1) fixed-speed systems, where the compressor cycles on and off to match the cooling load; (2) multi-speed (typically, two-speed) systems, where the compressor can operate at multiple cooling capacities, leading to reduced cycling; and (3) variable-speed systems, where the compressor speed is adjusted to match the cooling load of the household, thereby providing higher efficiency and comfort levels through better temperature and humidity control. While energy consumption could reduce significantly by adopting variable-speed compressor systems, the market penetration has been limited to less than 10% of the total HVAC units and a vast majority of systems installed in new construction remains single speed. A few reasons may explain this phenomenon such as the complexity of the electronic circuitry required to vary compressor speed as well as the associated system cost. This paper outlines a system solution to boost the Seasonal Energy Efficiency Rating (SEER) of a traditional single-speed unit through using a low power electronic converter that allows the compressor to operate at multiple low capacity settings and is disabled at high compressor speeds.

  11. The influence of the hydrologic cycle on the extent of sea ice with climatic implications

    NASA Technical Reports Server (NTRS)

    Dean, Kenneson G.; Stringer, William J.; Searcy, Craig

    1993-01-01

    Multi-temporal satellite images, field observations, and field measurements were used to investigate the mechanisms by which sea ice melts offshore from the Mackenzie River delta. Advanced Very High Resolution Radiometer (AVHRR) satellite data recorded in 1986 were analyzed. The satellite data were geometrically corrected and radiometrically calibrated so that albedo and temperature values could be extracted. The investigation revealed that sea ice melted approximately 2 weeks earlier offshore from the Mackenzie River delta than along coasts where river discharge is minimal or non-existent. There is significant intra-delta variability in the timing and patterns of ice melt. An estimation of energy flux indicates that 30 percent more of the visible wavelength energy and 25 percent more of the near-infrared wavelength energy is absorbed by water offshore of the delta compared to coastal areas with minimal river discharge. The analysis also revealed that the removal of sea ice involves the following: over-ice-flooding along the coast offshore from river delta channels; under-ice flow of 'warm' river water; melting and calving of the fast ice; and, the formation of a bight in the pack ice edge. Two stages in the melting of sea ice were identified: (1) an early stage where heat is supplied to overflows largely by solar radiation, and (2) a later stage where heat is supplied by river discharge in addition to solar radiation. A simple thermodynamic model of the thaw process in the fast ice zone was developed and parameterized based on events recorded by the satellite images. The model treats river discharge as the source of sensible heat at the base of the ice cover. The results of a series of sensitivity tests to assess the influence of river discharge on the near shore ice are presented.

  12. What drives the spatial variability of primary productivity and matter fluxes in the north-west African upwelling system? A modelling approach

    NASA Astrophysics Data System (ADS)

    Auger, Pierre-Amaël; Gorgues, Thomas; Machu, Eric; Aumont, Olivier; Brehmer, Patrice

    2016-11-01

    A comparative box analysis based on a multi-decadal physical-biogeochemical hindcast simulation (1980-2009) was conducted to characterize the drivers of the spatial distribution of phytoplankton biomass and production in the north-west (NW) African upwelling system. Alongshore geostrophic flow related to large-scale circulation patterns associated with the influence of coastal topography is suggested to modulate the coastal divergence, and then the response of nutrient upwelling to wind forcing. In our simulation, this translates into a coastal upwelling of nitrate being significant in all regions but the Cape Blanc (CB) area. However, upwelling is found to be the dominant supplier of nitrate only in the northern Saharan Bank (NSB) and the Senegalo-Mauritanian (SM) regions. Elsewhere, nitrate supply is dominated by meridional advection, especially off Cape Blanc. Phytoplankton displays a similar behaviour with a supply by lateral advection which equals the net coastal phytoplankton growth in all coastal regions except the Senegalo-Mauritanian area. Noticeably, in the Cape Blanc area, the net coastal phytoplankton growth is mostly sustained by high levels of regenerated production exceeding new production by more than twofold, which is in agreement with the locally weak input of nitrate by coastal upwelling. Further offshore, the distribution of nutrients and phytoplankton is explained by the coastal circulation. Indeed, in the northern part of our domain (i.e. Saharan Bank), the coastal circulation is mainly alongshore, resulting in low offshore lateral advection of nutrients and phytoplankton. Conversely, lateral advection transports coastal nutrients and phytoplankton towards offshore areas in the latitudinal band off the Senegalo-Mauritanian region. Moreover, this latter offshore region benefits from transient southern intrusions of nutrient-rich waters from the Guinean upwelling.

  13. Offshore Tectonics of the St. Elias Mountains: Insights from Ocean Drilling and Seismic Stratigraphy on the Yakutat Shelf

    NASA Astrophysics Data System (ADS)

    Worthington, L. L.; Gulick, S. P. S.; Montelli, A.; Jaeger, J. M.; Zellers, S.; Walczak, M. H.; Mix, A. C.

    2015-12-01

    Ongoing collision of the Yakutat (YAK) microplate with North America (NA) in southern Alaska has driven orogenesis of the St. Elias Mountains and the advance of the offshore deformation front to the southeast. The offshore St. Elias fold-thrust belt records the complex interaction between collisional tectonics and glacial climate variability, providing insight for models of orogenesis and the evolution of glacial depocenters. Glacial erosion and deposition have provided sediment that constructed the upper continental shelf, much of which has been reincorporated into the orogenic wedge through offshore faulting and folding. We integrate core and downhole logging data from IODP Expedition 341 (Sites U1420 and U1421) drilled on the Yakutat shelf and slope with high-resolution and regional seismic profiles to investigate the coupled structural and stratigraphic evolution of the St. Elias margin. Site U1420 lies on the Yakutat shelf within the Bering Trough, a shelf-crossing trough that is within primary depocenter for Bering Glacier sediments. Two faults underlie the glacial packages and have been rendered inactive as the depositional environment has evolved, while faulting elsewhere on the shelf has initiated. Site U1421 lies on the current continental slope, within the backlimb of an active thrust that forms part of the modern YAK-NA deformation front. At each of these sites, we recovered glacigenic diamict (at depths up to ~1015 m at Site U1420), much of which is younger than 0.3 Ma. Age models within the trough indicated that initiation of active deformation away from the Bering Trough depocenter likely occurred since 0.3 Ma, suggesting that possible tectonic reorganization due to mass redistribution by glacial processes can occur at time scales on the order of 100kyr-1Myr.

  14. Alkaline phosphatase activity at the southwest coast of India: A comparison of locations differently affected by upwelling

    NASA Astrophysics Data System (ADS)

    Mamatha, S. S.; Malik, Ashish; Varik, Sandesh; Parvathi, V.; Jineesh, V. K.; Gauns, Mangesh U.; LokaBharathi, P. A.

    2015-01-01

    The realization of the potential importance of phosphorus (P) as a limiting nutrient in marine ecosystem is increasing globally. Hence, the contribution of biotic variables in mobilizing this nutrient would be relevant especially in productive coastal waters. As alkaline phosphatase activity (APA) indicates the status of P for primary production in aquatic environments, we asked the following question: is the level of APA indicative of P sufficiency or deficiency in coastal waters, especially, where upwelling is a regular phenomenon? Therefore, we have examined the total APA, chlorophyll a along with phosphatase producing bacteria (PPB) and related environmental parameters from nearshore to offshore in coastal waters off Trivandrum and Kochi regions differently affected by upwelling during the onset of monsoon. Off Trivandrum, APA in the offshore waters of 5-m layer at 2.23 μM P h- 1 was > 4 times higher than nearshore. Thus, low APA could be indicative of P sufficiency in coastal waters and higher activity suggestive of deficiency in offshore waters off Trivandrum. In contrast, there was less difference in APA between near and offshore surface waters off Kochi. Our results show that the regions differently affected by upwelling respond differently according to ambient P concentration, distance from shore or depth of water. These observations could apparently be applicable to other coastal systems as well, where gradients in upwelling and phosphate runoff have been noticed. Further studies on other transects would throw more light on the extent and direction of the relationship between APA and ambient P concentration. Such studies would help in understanding the level of control of this nutrient on the productivity of coastal waters.

  15. Calibration and validation of a spar-type floating offshore wind turbine model using the FAST dynamic simulation tool

    DOE PAGES

    Browning, J. R.; Jonkman, J.; Robertson, A.; ...

    2014-12-16

    In this study, high-quality computer simulations are required when designing floating wind turbines because of the complex dynamic responses that are inherent with a high number of degrees of freedom and variable metocean conditions. In 2007, the FAST wind turbine simulation tool, developed and maintained by the U.S. Department of Energy's (DOE's) National Renewable Energy Laboratory (NREL), was expanded to include capabilities that are suitable for modeling floating offshore wind turbines. In an effort to validate FAST and other offshore wind energy modeling tools, DOE funded the DeepCwind project that tested three prototype floating wind turbines at 1/50 th scalemore » in a wave basin, including a semisubmersible, a tension-leg platform, and a spar buoy. This paper describes the use of the results of the spar wave basin tests to calibrate and validate the FAST offshore floating simulation tool, and presents some initial results of simulated dynamic responses of the spar to several combinations of wind and sea states. Wave basin tests with the spar attached to a scale model of the NREL 5-megawatt reference wind turbine were performed at the Maritime Research Institute Netherlands under the DeepCwind project. This project included free-decay tests, tests with steady or turbulent wind and still water (both periodic and irregular waves with no wind), and combined wind/wave tests. The resulting data from the 1/50th model was scaled using Froude scaling to full size and used to calibrate and validate a full-size simulated model in FAST. Results of the model calibration and validation include successes, subtleties, and limitations of both wave basin testing and FAST modeling capabilities.« less

  16. Adaptation rate of 6-sulfatoxymelatonin and cognitive performance in offshore fleet shift workers: a field study.

    PubMed

    Hansen, Jakob H; Geving, Ingunn H; Reinertsen, Randi E

    2010-08-01

    To determine the total phase delay and adaptation rate of 6-sulfatoxymelatonin (aMT6s) on subjective and objective sleep quality and cognitive performance after 7 days of working night shifts (1800-0600 hours). The subjects studied were offshore fleet workers (N = 7). Seven days of urine samples were collected to determine the total phase delay and adaptation rate of aMT6s. Subjective and objective sleep quality was registered with sleep diaries and actigraphy on a daily basis. Cognitive performance, as measured by vigilance and reaction time, was measured with the Vienna test system on days 1 and 7. Light exposure was measured in the vessel compartments daily. The rhythm of aMT6s shifted significantly from 4.78 +/- 0.94 h on day 1 to 8.84 +/- 1.76 h on day 7. Rate of adaptation was 0.84 h per day. Subjective sleep quality showed significant time effects on four variables, but objective sleep quality did not show any significant time effects. Vigilance and reaction time improved significantly from days 1 to 7. Light exposure intensities varied between 3 and 243 lux. This field study showed that offshore fleet workers are able to adapt to the imposed regimen of 12-h night shifts. The adaptation is slower compared to other branches of the offshore industry, which most likely is due to lower light exposure. Subjective sleep quality improved to some extent, but the results were not conclusive. No significant effects were observed in the objective measures. Cognitive performance improved significantly, which was likely to be caused by the extended working hours on day 1 and an entrainment of the suprachiasmatic nuclei (SCN).

  17. Formation Mechanisms for Spur and Groove Features on Fringing Reefs

    NASA Astrophysics Data System (ADS)

    Bramante, J. F.; Ashton, A. D.; Perron, J. T.

    2016-12-01

    Spur and groove systems (SAGs) are ubiquitous morphological features found on fore-reef slopes globally. SAGs consist of parallel, roughly shore-normal ridges of actively growing coral and coralline algae (spurs) separated by offshore-sloping depressions typically carpeted by a veneer of sediment (grooves). Although anecdotal observations and recent statistical analyses have reported correlations between wave exposure and the distribution of SAGs on fore-reef slopes, the physical mechanisms driving SAG formation remain poorly understood. For example, there remains significant debate regarding the importance of coral growth versus bed erosion for SAG formation. Here we investigate a hypothesis that SAG formation is controlled by feedbacks between sediment production and diffusion and coral growth. Using linear stability analysis, we find that sediment production, coral growth, and the feedbacks between them are unable to produce stable periodic structures without a sediment sink. However, if incipient grooves act as conduits for sediment transport offshore, a positive feedback can develop as the groove bed erodes through wave-driven abrasion during offshore transport. Eventually a negative feedback slows groove deepening when the groove bed is armored by sediment, and the groove bed relaxes to a sediment-veneered equilibrium profile analogous to sediment-rich shorefaces. To test this hypothesis, we apply a numerical model that incorporates coral growth and sediment production, sediment diffusion, non-linear wave-driven abrasion, and sediment advection offshore. This model produces the periodic, linear features characteristic of SAG morphology. The relative magnitude of growth, production, diffusion, abrasion, and advection rates affect periodic spacing or wavelength of the modeled SAGs. Finally, we evaluate the ability of the model to replicate geographical variability in SAG characteristics using previously published datasets and reanalysis wave data.

  18. Environmental Records from Great Barrier Reef Corals: Inshore versus Offshore Drivers

    PubMed Central

    Walther, Benjamin D.; Kingsford, Michael J.; McCulloch, Malcolm T.

    2013-01-01

    The biogenic structures of stationary organisms can be effective recorders of environmental fluctuations. These proxy records of environmental change are preserved as geochemical signals in the carbonate skeletons of scleractinian corals and are useful for reconstructions of temporal and spatial fluctuations in the physical and chemical environments of coral reef ecosystems, including The Great Barrier Reef (GBR). We compared multi-year monitoring of water temperature and dissolved elements with analyses of chemical proxies recorded in Porites coral skeletons to identify the divergent mechanisms driving environmental variation at inshore versus offshore reefs. At inshore reefs, water Ba/Ca increased with the onset of monsoonal rains each year, indicating a dominant control of flooding on inshore ambient chemistry. Inshore multi-decadal records of coral Ba/Ca were also highly periodic in response to flood-driven pulses of terrigenous material. In contrast, an offshore reef at the edge of the continental shelf was subject to annual upwelling of waters that were presumed to be richer in Ba during summer months. Regular pulses of deep cold water were delivered to the reef as indicated by in situ temperature loggers and coral Ba/Ca. Our results indicate that although much of the GBR is subject to periodic environmental fluctuations, the mechanisms driving variation depend on proximity to the coast. Inshore reefs are primarily influenced by variable freshwater delivery and terrigenous erosion of catchments, while offshore reefs are dominated by seasonal and inter-annual variations in oceanographic conditions that influence the propensity for upwelling. The careful choice of sites can help distinguish between the various factors that promote Ba uptake in corals and therefore increase the utility of corals as monitors of spatial and temporal variation in environmental conditions. PMID:24204743

  19. Analysis of proximal and distal muscle activity during handwriting tasks.

    PubMed

    Naider-Steinhart, Shoshana; Katz-Leurer, Michal

    2007-01-01

    In this study we sought to describe upper-extremity proximal and distal muscle activity in typically developing children during a handwriting task and to explore the relationship between muscle activity and speed and quality of writing. We evaluated 35 third- and fourth-grade Israeli children using the Alef-Alef Ktav Yad Hebrew Handwriting Test. Simultaneously, we recorded the participants' upper trapezius and thumb muscle activity by surface electromyography. Using the coefficient of variation (standard deviation divided by mean amplitude) as a measure of variability within each muscle, we analyzed differences in muscle activity variability within and between muscles. The proximal muscle displayed significantly less variability than the distal muscles. Decreased variability in proximal muscle activity was associated with decreased variability in distal muscle activity, and decreased variability in the distal muscles was significantly associated with faster speed of writing. The lower amount of variability exhibited in the proximal muscle compared with the distal muscles seems to indicate that the proximal muscle functions as a stabilizer during a handwriting task. In addition, decreased variability in both proximal and distal muscle activity appears to be more economical and is related to faster writing speed. Knowledge of the type of proximal and distal muscle activity used during handwriting can help occupational therapists plan treatment for children with handwriting disabilities.

  20. Spatiotemporal Co-variability of Surface Climate for Renewable Energy across the Contiguous United States: Role of the North Atlantic Subtropical High

    NASA Astrophysics Data System (ADS)

    Doering, K.; Steinschneider, S.

    2017-12-01

    The variability of renewable energy supply and drivers of demand across space and time largely determines the energy balance within power systems with a high penetration of renewable technologies. This study examines the joint spatiotemporal variability of summertime climate linked to renewable energy production (precipitation, wind speeds, insolation) and energy demand (temperature) across the contiguous United States (CONUS) between 1948 and 2015. Canonical correlation analysis is used to identify the major modes of joint variability between summer wind speeds and precipitation and related patterns of insolation and temperature. Canonical variates are then related to circulation anomalies to identify common drivers of the joint modes of climate variability. Results show that the first two modes of joint variability between summer wind speeds and precipitation exhibit pan-US dipole patterns with centers of action located in the eastern and central CONUS. Temperature and insolation also exhibit related US-wide dipoles. The relationship between canonical variates and lower-tropospheric geopotential height indicates that these modes are related to variability in the North Atlantic subtropical high (NASH). This insight can inform optimal strategies for siting renewables in an interconnected electric grid, and has implications for the impacts of climate variability and change on renewable energy systems.

  1. Associations between cognitive and gait performance during single- and dual-task walking in people with Parkinson disease.

    PubMed

    Stegemöller, Elizabeth L; Wilson, Jonathan P; Hazamy, Audrey; Shelley, Mack C; Okun, Michael S; Altmann, Lori J P; Hass, Chris J

    2014-06-01

    Cognitive impairments in Parkinson disease (PD) manifest as deficits in speed of processing, working memory, and executive function and attention abilities. The gait impairment in PD is well documented to include reduced speed, shortened step lengths, and increased step-to-step variability. However, there is a paucity of research examining the relationship between overground walking and cognitive performance in people with PD. This study sought to examine the relationship between both the mean and variability of gait spatiotemporal parameters and cognitive performance across a broad range of cognitive domains. A cross-sectional design was used. Thirty-five participants with no dementia and diagnosed with idiopathic PD completed a battery of 12 cognitive tests that yielded 3 orthogonal factors: processing speed, working memory, and executive function and attention. Participants completed 10 trials of overground walking (single-task walking) and 5 trials of overground walking while counting backward by 3's (dual-task walking). All gait measures were impaired by the dual task. Cognitive processing speed correlated with stride length and walking speed. Executive function correlated with step width variability. There were no significant associations with working memory. Regression models relating speed of processing to gait spatiotemporal variables revealed that including dual-task costs in the model significantly improved the fit of the model. Participants with PD were tested only in the on-medication state. Different characteristics of gait are related to distinct types of cognitive processing, which may be differentially affected by dual-task walking due to the pathology of PD. © 2014 American Physical Therapy Association.

  2. Comparison of Predictive Modeling Methods of Aircraft Landing Speed

    NASA Technical Reports Server (NTRS)

    Diallo, Ousmane H.

    2012-01-01

    Expected increases in air traffic demand have stimulated the development of air traffic control tools intended to assist the air traffic controller in accurately and precisely spacing aircraft landing at congested airports. Such tools will require an accurate landing-speed prediction to increase throughput while decreasing necessary controller interventions for avoiding separation violations. There are many practical challenges to developing an accurate landing-speed model that has acceptable prediction errors. This paper discusses the development of a near-term implementation, using readily available information, to estimate/model final approach speed from the top of the descent phase of flight to the landing runway. As a first approach, all variables found to contribute directly to the landing-speed prediction model are used to build a multi-regression technique of the response surface equation (RSE). Data obtained from operations of a major airlines for a passenger transport aircraft type to the Dallas/Fort Worth International Airport are used to predict the landing speed. The approach was promising because it decreased the standard deviation of the landing-speed error prediction by at least 18% from the standard deviation of the baseline error, depending on the gust condition at the airport. However, when the number of variables is reduced to the most likely obtainable at other major airports, the RSE model shows little improvement over the existing methods. Consequently, a neural network that relies on a nonlinear regression technique is utilized as an alternative modeling approach. For the reduced number of variables cases, the standard deviation of the neural network models errors represent over 5% reduction compared to the RSE model errors, and at least 10% reduction over the baseline predicted landing-speed error standard deviation. Overall, the constructed models predict the landing-speed more accurately and precisely than the current state-of-the-art.

  3. Effect of 8 weeks of concurrent plyometric and running training on spatiotemporal and physiological variables of novice runners.

    PubMed

    Gómez-Molina, Josué; Ogueta-Alday, Ana; Camara, Jesus; Stickley, Christopher; García-López, Juan

    2018-03-01

    Concurrent plyometric and running training has the potential to improve running economy (RE) and performance through increasing muscle strength and power, but the possible effect on spatiotemporal parameters of running has not been studied yet. The aim of this study was to compare the effect of 8 weeks of concurrent plyometric and running training on spatiotemporal parameters and physiological variables of novice runners. Twenty-five male participants were randomly assigned into two training groups; running group (RG) (n = 11) and running + plyometric group (RPG) (n = 14). Both groups performed 8 weeks of running training programme, and only the RPG performed a concurrent plyometric training programme (two sessions per week). Anthropometric, physiological (VO 2max , heart rate and RE) and spatiotemporal variables (contact and flight times, step rate and length) were registered before and after the intervention. In comparison to RG, the RPG reduced step rate and increased flight times at the same running speeds (P < .05) while contact times remained constant. Significant increases in pre- and post-training (P < .05) were found in RPG for squat jump and 5 bound test, while RG remained unchanged. Peak speed, ventilatory threshold (VT) speed and respiratory compensation threshold (RCT) speed increased (P < .05) for both groups, although peak speed and VO 2max increased more in the RPG than in the RG. In conclusion, concurrent plyometric and running training entails a reduction in step rate, as well as increases in VT speed, RCT speed, peak speed and VO 2max . Athletes could benefit from plyometric training in order to improve their strength, which would contribute to them attaining higher running speeds.

  4. Wind turbine power tracking using an improved multimodel quadratic approach.

    PubMed

    Khezami, Nadhira; Benhadj Braiek, Naceur; Guillaud, Xavier

    2010-07-01

    In this paper, an improved multimodel optimal quadratic control structure for variable speed, pitch regulated wind turbines (operating at high wind speeds) is proposed in order to integrate high levels of wind power to actively provide a primary reserve for frequency control. On the basis of the nonlinear model of the studied plant, and taking into account the wind speed fluctuations, and the electrical power variation, a multimodel linear description is derived for the wind turbine, and is used for the synthesis of an optimal control law involving a state feedback, an integral action and an output reference model. This new control structure allows a rapid transition of the wind turbine generated power between different desired set values. This electrical power tracking is ensured with a high-performance behavior for all other state variables: turbine and generator rotational speeds and mechanical shaft torque; and smooth and adequate evolution of the control variables. 2010 ISA. Published by Elsevier Ltd. All rights reserved.

  5. Variability Extraction and Synthesis via Multi-Resolution Analysis using Distribution Transformer High-Speed Power Data

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

    Chamana, Manohar; Mather, Barry A

    A library of load variability classes is created to produce scalable synthetic data sets using historical high-speed raw data. These data are collected from distribution monitoring units connected at the secondary side of a distribution transformer. Because of the irregular patterns and large volume of historical high-speed data sets, the utilization of current load characterization and modeling techniques are challenging. Multi-resolution analysis techniques are applied to extract the necessary components and eliminate the unnecessary components from the historical high-speed raw data to create the library of classes, which are then utilized to create new synthetic load data sets. A validationmore » is performed to ensure that the synthesized data sets contain the same variability characteristics as the training data sets. The synthesized data sets are intended to be utilized in quasi-static time-series studies for distribution system planning studies on a granular scale, such as detailed PV interconnection studies.« less

  6. A New Turbo-shaft Engine Control Law during Variable Rotor Speed Transient Process

    NASA Astrophysics Data System (ADS)

    Hua, Wei; Miao, Lizhen; Zhang, Haibo; Huang, Jinquan

    2015-12-01

    A closed-loop control law employing compressor guided vanes is firstly investigated to solve unacceptable fuel flow dynamic change in single fuel control for turbo-shaft engine here, especially for rotorcraft in variable rotor speed process. Based on an Augmented Linear Quadratic Regulator (ALQR) algorithm, a dual-input, single-output robust control scheme is proposed for a turbo-shaft engine, involving not only the closed loop adjustment of fuel flow but also that of compressor guided vanes. Furthermore, compared to single fuel control, some digital simulation cases using this new scheme about variable rotor speed have been implemented on the basis of an integrated system of helicopter and engine model. The results depict that the command tracking performance to the free turbine rotor speed can be asymptotically realized. Moreover, the fuel flow transient process has been significantly improved, and the fuel consumption has been dramatically cut down by more than 2% while keeping the helicopter level fight unchanged.

  7. Does manipulating the speed of visual flow in virtual reality change distance estimation while walking in Parkinson's disease?

    PubMed

    Ehgoetz Martens, Kaylena A; Ellard, Colin G; Almeida, Quincy J

    2015-03-01

    Although dopaminergic replacement therapy is believed to improve sensory processing in PD, while delayed perceptual speed is thought to be caused by a predominantly cholinergic deficit, it is unclear whether sensory-perceptual deficits are a result of corrupt sensory processing, or a delay in updating perceived feedback during movement. The current study aimed to examine these two hypotheses by manipulating visual flow speed and dopaminergic medication to examine which influenced distance estimation in PD. Fourteen PD and sixteen HC participants were instructed to estimate the distance of a remembered target by walking to the position the target formerly occupied. This task was completed in virtual reality in order to manipulate the visual flow (VF) speed in real time. Three conditions were carried out: (1) BASELINE: VF speed was equal to participants' real-time movement speed; (2) SLOW: VF speed was reduced by 50 %; (2) FAST: VF speed was increased by 30 %. Individuals with PD performed the experiment in their ON and OFF state. PD demonstrated significantly greater judgement error during BASELINE and FAST conditions compared to HC, although PD did not improve their judgement error during the SLOW condition. Additionally, PD had greater variable error during baseline compared to HC; however, during the SLOW conditions, PD had significantly less variable error compared to baseline and similar variable error to HC participants. Overall, dopaminergic medication did not significantly influence judgement error. Therefore, these results suggest that corrupt processing of sensory information is the main contributor to sensory-perceptual deficits during movement in PD rather than delayed updating of sensory feedback.

  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. Kinematic Variables Evolution During a 200-m Maximum Test in Young Paddlers

    PubMed Central

    Vaquero-Cristóbal, Raquel; Alacid, Fernando; López-Plaza, Daniel; Muyor, José María; López-Miñarro, Pedro A.

    2013-01-01

    The objective of this research was to determine the kinematic variables evolution in a sprint canoeing maximal test over 200 m, comparing women and men kayak paddlers and men canoeists. Speed evolution, cycle frequency, cycle length and cycle index were analysed each 50 m section in fifty-two young paddlers (20 male kayakers, 17 female kayakers and 15 male canoeists; 13–14 years-old). Recordings were taken from a boat which followed each paddler trial in order to measure the variables cited above. Kinematic evolution was similar in the three categories, the speed and cycle index decreased through the test after the first 50 m. Significant differences were observed among most of the sections in speed and the cycle index (p<0.05 and <0.01, respectively). Cycle length remained stable showing the lowest values in the first section when compared with the others (p<0.01). Cycle frequency progressively decreased along the distance. Significant differences were identified in the majority of the sections (p<0.01). Men kayakers attained higher values in all the variables than women kayakers and men canoeists, but only such variables as speed, cycle length and cycle index were observed to be significantly higher (p<0.01). Moreover, lower kinematic values were obtained from men canoeists. The study of the evolution of kinematic variables can provide valuable information for athletes and coaches while planning training sessions and competitions. PMID:24235980

  10. Wind Velocity and Position Sensor-less Operation for PMSG Wind Generator

    NASA Astrophysics Data System (ADS)

    Senjyu, Tomonobu; Tamaki, Satoshi; Urasaki, Naomitsu; Uezato, Katsumi; Funabashi, Toshihisa; Fujita, Hideki

    Electric power generation using non-conventional sources is receiving considerable attention throughout the world. Wind energy is one of the available non-conventional energy sources. Electrical power generation using wind energy is possible in two ways, viz. constant speed operation and variable speed operation using power electronic converters. Variable speed power generation is attractive, because maximum electric power can be generated at all wind velocities. However, this system requires a rotor speed sensor, for vector control purpose, which increases the cost of the system. To alleviate the need of rotor speed sensor in vector control, we propose a new sensor-less control of PMSG (Permanent Magnet Synchronous Generator) based on the flux linkage. We can estimate the rotor position using the estimated flux linkage. We use a first-order lag compensator to obtain the flux linkage. Furthermore‚we estimate wind velocity and rotation speed using a observer. The effectiveness of the proposed method is demonstrated thorough simulation results.

  11. Ultra-high-speed variable focus optics for novel applications in advanced imaging

    NASA Astrophysics Data System (ADS)

    Kang, S.; Dotsenko, E.; Amrhein, D.; Theriault, C.; Arnold, C. B.

    2018-02-01

    With the advancement of ultra-fast manufacturing technologies, high speed imaging with high 3D resolution has become increasingly important. Here we show the use of an ultra-high-speed variable focus optical element, the TAG Lens, to enable new ways to acquire 3D information from an object. The TAG Lens uses sound to adjust the index of refraction profile in a liquid and thereby can achieve focal scanning rates greater than 100 kHz. When combined with a high-speed pulsed LED and a high-speed camera, we can exploit this phenomenon to achieve high-resolution imaging through large depths. By combining the image acquisition with digital image processing, we can extract relevant parameters such as tilt and angle information from objects in the image. Due to the high speeds at which images can be collected and processed, we believe this technique can be used as an efficient method of industrial inspection and metrology for high throughput applications.

  12. Design Optimization of a Variable-Speed Power Turbine

    NASA Technical Reports Server (NTRS)

    Hendricks, Eric S.; Jones, Scott M.; Gray, Justin S.

    2014-01-01

    NASA's Rotary Wing Project is investigating technologies that will enable the development of revolutionary civil tilt rotor aircraft. Previous studies have shown that for large tilt rotor aircraft to be viable, the rotor speeds need to be slowed significantly during the cruise portion of the flight. This requirement to slow the rotors during cruise presents an interesting challenge to the propulsion system designer as efficient engine performance must be achieved at two drastically different operating conditions. One potential solution to this challenge is to use a transmission with multiple gear ratios and shift to the appropriate ratio during flight. This solution will require a large transmission that is likely to be maintenance intensive and will require a complex shifting procedure to maintain power to the rotors at all times. An alternative solution is to use a fixed gear ratio transmission and require the power turbine to operate efficiently over the entire speed range. This concept is referred to as a variable-speed power-turbine (VSPT) and is the focus of the current study. This paper explores the design of a variable speed power turbine for civil tilt rotor applications using design optimization techniques applied to NASA's new meanline tool, the Object-Oriented Turbomachinery Analysis Code (OTAC).

  13. Some preliminary results from the NWTC direct-drive, variable-speed test bed

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

    Carlin, P.W.; Fingersh, L.J.

    1996-10-01

    With the remarkable rise in interest in variable-speed operation of larger wind turbines, it has become important for the National Wind Technology Center (NWTC) to have access to a variable-speed test bed that can be specially instrumented for research. Accordingly, a three-bladed, 10-meter, downwind, Grumman Windstream machine has been equipped with a set of composite blades and a direct-coupled, permanent-magnet, 20 kilowatt generator. This machine and its associated control system and data collection system are discussed. Several variations of a maximum power control algorithm have been installed on the control computer. To provide a baseline for comparison, several constant speedmore » algorithms have also been installed. The present major effort is devoted to daytime, semi-autonomous data collection.« less

  14. Variable speed generator application on the MOD-5A 7.3 mW wind turbine generator

    NASA Technical Reports Server (NTRS)

    Barton, Robert S.

    1995-01-01

    This paper describes the application of a Scherbiustat type variable speed subsystem in the MOD-5A Wind Turbine Generator. As designed by General Electric Company, Advanced Energy Programs Department, under contract DEN3-153 with NASA Lewis Research Center and DOE, the MOD-5A utilizes the subsystem for both starting assistance in a motoring mode and generation in a controlled airgap torque mode. Reactive power control is also provided. The Scherbiustat type arrangement of a wound rotor machine with a cycloconverter in the rotor circuit was selected after an evaluation of variable speed technologies that followed a system evaluation of drivetrain cost and risk. The paper describes the evaluation factors considered, the results of the evaluations and summarizes operating strategy and performance simulations.

  15. Variability in large-scale wind power generation: Variability in large-scale wind power generation

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

    Kiviluoma, Juha; Holttinen, Hannele; Weir, David

    2015-10-25

    The paper demonstrates the characteristics of wind power variability and net load variability in multiple power systems based on real data from multiple years. Demonstrated characteristics include probability distribution for different ramp durations, seasonal and diurnal variability and low net load events. The comparison shows regions with low variability (Sweden, Spain and Germany), medium variability (Portugal, Ireland, Finland and Denmark) and regions with higher variability (Quebec, Bonneville Power Administration and Electric Reliability Council of Texas in North America; Gansu, Jilin and Liaoning in China; and Norway and offshore wind power in Denmark). For regions with low variability, the maximum 1more » h wind ramps are below 10% of nominal capacity, and for regions with high variability, they may be close to 30%. Wind power variability is mainly explained by the extent of geographical spread, but also higher capacity factor causes higher variability. It was also shown how wind power ramps are autocorrelated and dependent on the operating output level. When wind power was concentrated in smaller area, there were outliers with high changes in wind output, which were not present in large areas with well-dispersed wind power.« less

  16. Running speed during training and percent body fat predict race time in recreational male marathoners

    PubMed Central

    Barandun, Ursula; Knechtle, Beat; Knechtle, Patrizia; Klipstein, Andreas; Rüst, Christoph Alexander; Rosemann, Thomas; Lepers, Romuald

    2012-01-01

    Background Recent studies have shown that personal best marathon time is a strong predictor of race time in male ultramarathoners. We aimed to determine variables predictive of marathon race time in recreational male marathoners by using the same characteristics of anthropometry and training as used for ultramarathoners. Methods Anthropometric and training characteristics of 126 recreational male marathoners were bivariately and multivariately related to marathon race times. Results After multivariate regression, running speed of the training units (β = −0.52, P < 0.0001) and percent body fat (β = 0.27, P < 0.0001) were the two variables most strongly correlated with marathon race times. Marathon race time for recreational male runners may be estimated to some extent by using the following equation (r2 = 0.44): race time ( minutes) = 326.3 + 2.394 × (percent body fat, %) − 12.06 × (speed in training, km/hours). Running speed during training sessions correlated with prerace percent body fat (r = 0.33, P = 0.0002). The model including anthropometric and training variables explained 44% of the variance of marathon race times, whereas running speed during training sessions alone explained 40%. Thus, training speed was more predictive of marathon performance times than anthropometric characteristics. Conclusion The present results suggest that low body fat and running speed during training close to race pace (about 11 km/hour) are two key factors for a fast marathon race time in recreational male marathoner runners. PMID:24198587

  17. Preliminary Assessment of Variable Speed Power Turbine Technology on Civil Tiltrotor Size and Performance

    NASA Technical Reports Server (NTRS)

    Snyder, Christopher A.; Acree, Cecil W., Jr.

    2012-01-01

    A Large Civil Tiltrotor (LCTR) conceptual design was developed as part of the NASA Heavy Lift Rotorcraft Systems Investigation in order to establish a consistent basis for evaluating the benefits of advanced technology for large tiltrotors. The concept has since evolved into the second-generation LCTR2, designed to carry 90 passengers for 1,000 nm at 300 knots, with vertical takeoff and landing capability. This paper performs a preliminary assessment of variable-speed power turbine technology on LCTR2 sizing, while maintaining the same, advanced technology engine core. Six concepts were studied; an advanced, single-speed engine with a conventional power turbine layout (Advanced Conventional Engine, or ACE) using a multi-speed (shifting) gearbox. There were five variable-speed power turbine (VSPT) engine concepts, comprising a matrix of either three or four turbine stages, and fixed or variable guide vanes; plus a minimum weight, twostage, fixed-geometry VSPT. The ACE is the lightest engine, but requires a multi-speed (shifting) gearbox to maximize its fuel efficiency, whereas the VSPT concepts use a lighter, fixed-ratio gearbox. The NASA Design and Analysis of Rotorcraft (NDARC) design code was used to study the trades between rotor and engine efficiency and weight. Rotor performance was determined by Comprehensive Analytical Model of Rotorcraft Aerodynamics and Dynamics (CAMRAD II), and engine performance was estimated with the Numerical Propulsion System Simulation (NPSS). Design trades for the ACE vs. VSPT are presented in terms of vehicle gross and empty weight, propulsion system weight and mission fuel burn for the civil mission. Because of its strong effect on gearbox weight and on both rotor and engine efficiency, rotor speed was chosen as the reference design variable for comparing design trades. Major study assumptions are presented and discussed. Impressive engine power-to-weight and fuel efficiency reduced vehicle sensitivity to propulsion system choice. The 10% weight penalty for multi-speed gearbox was more significant than most engine technology weight penalties to the vehicle design because drive system weight is more than two times engine weight. Based on study assumptions, fixed-geometry VSPT concept options performed better than their variable-geometry counterparts. Optimum design gross weights varied 1% or less and empty weights less than 2% among the concepts studied, while optimum fuel burns varied up to 5%. The outcome for some optimum configurations was so unexpected as to recommend a deeper look at the underlying technology assumptions.

  18. 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...

  19. Fault diagnosis of motor bearing with speed fluctuation via angular resampling of transient sound signals

    NASA Astrophysics Data System (ADS)

    Lu, Siliang; Wang, Xiaoxian; He, Qingbo; Liu, Fang; Liu, Yongbin

    2016-12-01

    Transient signal analysis (TSA) has been proven an effective tool for motor bearing fault diagnosis, but has yet to be applied in processing bearing fault signals with variable rotating speed. In this study, a new TSA-based angular resampling (TSAAR) method is proposed for fault diagnosis under speed fluctuation condition via sound signal analysis. By applying the TSAAR method, the frequency smearing phenomenon is eliminated and the fault characteristic frequency is exposed in the envelope spectrum for bearing fault recognition. The TSAAR method can accurately estimate the phase information of the fault-induced impulses using neither complicated time-frequency analysis techniques nor external speed sensors, and hence it provides a simple, flexible, and data-driven approach that realizes variable-speed motor bearing fault diagnosis. The effectiveness and efficiency of the proposed TSAAR method are verified through a series of simulated and experimental case studies.

  20. 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.

  1. A variable-speed, constant-frequency wind power generation scheme using a slip-ring induction generator

    NASA Astrophysics Data System (ADS)

    Velayudhan, C.; Bundell, J. H.

    This paper investigates a variable-speed, constant-frequency double output induction generator which is capable of absorbing the mechanical energy from a fixed pitch wind turbine and converting it into electrical energy at constant grid voltage and frequency. Rotor power at varying voltage and frequency is either fed to electronically controlled resistances and used as heat energy or is rectified, inverted by a controllable line-commutated inverter and returned to the grid. Optimal power tracking is by means of an adaptive controller which controls the developed torque of the generator by monitoring the shaft speed.

  2. Silicon photonic transceiver circuit for high-speed polarization-based discrete variable quantum key distribution

    DOE PAGES

    Cai, Hong; Long, Christopher M.; DeRose, Christopher T.; ...

    2017-01-01

    We demonstrate a silicon photonic transceiver circuit for high-speed discrete variable quantum key distribution that employs a common structure for transmit and receive functions. The device is intended for use in polarization-based quantum cryptographic protocols, such as BB84. Our characterization indicates that the circuit can generate the four BB84 states (TE/TM/45°/135° linear polarizations) with >30 dB polarization extinction ratios and gigabit per second modulation speed, and is capable of decoding any polarization bases differing by 90° with high extinction ratios.

  3. Silicon photonic transceiver circuit for high-speed polarization-based discrete variable quantum key distribution.

    PubMed

    Cai, Hong; Long, Christopher M; DeRose, Christopher T; Boynton, Nicholas; Urayama, Junji; Camacho, Ryan; Pomerene, Andrew; Starbuck, Andrew L; Trotter, Douglas C; Davids, Paul S; Lentine, Anthony L

    2017-05-29

    We demonstrate a silicon photonic transceiver circuit for high-speed discrete variable quantum key distribution that employs a common structure for transmit and receive functions. The device is intended for use in polarization-based quantum cryptographic protocols, such as BB84. Our characterization indicates that the circuit can generate the four BB84 states (TE/TM/45°/135° linear polarizations) with >30 dB polarization extinction ratios and gigabit per second modulation speed, and is capable of decoding any polarization bases differing by 90° with high extinction ratios.

  4. Silicon photonic transceiver circuit for high-speed polarization-based discrete variable quantum key distribution

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

    Cai, Hong; Long, Christopher M.; DeRose, Christopher T.

    We demonstrate a silicon photonic transceiver circuit for high-speed discrete variable quantum key distribution that employs a common structure for transmit and receive functions. The device is intended for use in polarization-based quantum cryptographic protocols, such as BB84. Our characterization indicates that the circuit can generate the four BB84 states (TE/TM/45°/135° linear polarizations) with >30 dB polarization extinction ratios and gigabit per second modulation speed, and is capable of decoding any polarization bases differing by 90° with high extinction ratios.

  5. Assessing storm events for energy meteorology: using media and scientific reports to track a North Sea autumn storm.

    NASA Astrophysics Data System (ADS)

    Kettle, Anthony

    2016-04-01

    Important issues for energy meteorology are to assess meteorological conditions for normal operating conditions and extreme events for the ultimate limit state of engineering structures. For the offshore environment in northwest Europe, energy meteorology encompasses weather conditions relevant for petroleum production infrastructure and also the new field of offshore wind energy production. Autumn and winter storms are an important issue for offshore operations in the North Sea. The weather in this region is considered as challenging for extreme meteorological events as the Gulf of Mexico with its attendant hurricane risk. The rise of the Internet and proliferation of digital recording devices has placed a much greater amount of information in the public domain than was available to national meteorological agencies even 20 years ago. This contribution looks at reports of meteorology and infrastructure damage from a storm in the autumn of 2006 to trace the spatial and temporal record of meteorological events. Media reports give key information to assess the events of the storm. The storm passed over northern Europe between Oct.31-Nov. 2, 2006, and press reports from the time indicate that its most important feature was a high surge that inundated coastal areas. Sections of the Dutch and German North Sea coast were affected, and there was record flooding in Denmark and East Germany in the southern Baltic Sea. Extreme wind gusts were also reported that were strong enough to damage roofs and trees, and there was even tornado recorded near the Dutch-German border. Offshore, there were a series of damage reports from ship and platforms that were linked with sea state, and reports of rogue waves were explicitly mentioned. Many regional government authorities published summaries of geophysical information related to the storm, and these form part of a regular series of online winter storm reports that started as a public service about 15 years ago. Depending on the issuing authority, these reports include wind speed and atmospheric pressure for a number of stations. However, there is also important ancillary information that includes satellite images, weather radar pictures, sea state recordings, tide gauge records, and coastal surveys. When collated together, the literature survey gives good view of events related to the autumn storm. The key information from media reports is backed up by quantitative numbers from the scientific literature. For energy meteorology in the offshore environment, there is an outline of extreme wave events that may be important to help define the ultimate limit state of engineering structures and the return periods of extreme waves. While this contribution focusses on events from an old storm in the autumn of 2006, more severe regional storms have occurred since then, and the scientific literature indicates that these may be linked with climate warming. Literature surveys may help to fully define extreme meteorological conditions offshore and benefit different branches of the energy industry in Europe.

  6. Validation of a FAST model of the Statoil-Hywind Demo floating wind turbine

    DOE PAGES

    Driscoll, Frederick; Jonkman, Jason; Robertson, Amy; ...

    2016-10-13

    To assess the accuracy of the National Renewable Energy Laboratory's (NREL's) FAST simulation tool for modeling the coupled response of floating offshore wind turbines under realistic open-ocean conditions, NREL developed a FAST model of the Statoil Hywind Demo floating offshore wind turbine, and validated simulation results against field measurements. Field data were provided by Statoil, which conducted a comprehensive test measurement campaign of its demonstration system, a 2.3-MW Siemens turbine mounted on a spar substructure deployed about 10 km off the island of Karmoy in Norway. A top-down approach was used to develop the FAST model, starting with modeling themore » blades and working down to the mooring system. Design data provided by Siemens and Statoil were used to specify the structural, aerodynamic, and dynamic properties. Measured wind speeds and wave spectra were used to develop the wind and wave conditions used in the model. The overall system performance and behavior were validated for eight sets of field measurements that span a wide range of operating conditions. The simulated controller response accurately reproduced the measured blade pitch and power. In conclusion, the structural and blade loads and spectra of platform motion agree well with the measured data.« less

  7. Testing the robustness of optimal access vessel fleet selection for operation and maintenance of offshore wind farms

    DOE PAGES

    Sperstad, Iver Bakken; Stålhane, Magnus; Dinwoodie, Iain; ...

    2017-09-23

    Optimising the operation and maintenance (O&M) and logistics strategy of offshore wind farms implies the decision problem of selecting the vessel fleet for O&M. Different strategic decision support tools can be applied to this problem, but much uncertainty remains regarding both input data and modelling assumptions. Our paper aims to investigate and ultimately reduce this uncertainty by comparing four simulation tools, one mathematical optimisation tool and one analytic spreadsheet-based tool applied to select the O&M access vessel fleet that minimizes the total O&M cost of a reference wind farm. The comparison shows that the tools generally agree on the optimalmore » vessel fleet, but only partially agree on the relative ranking of the different vessel fleets in terms of total O&M cost. The robustness of the vessel fleet selection to various input data assumptions was tested, and the ranking was found to be particularly sensitive to the vessels' limiting significant wave height for turbine access. Also the parameter with the greatest discrepancy between the tools, implies that accurate quantification and modelling of this parameter is crucial. The ranking is moderately sensitive to turbine failure rates and vessel day rates but less sensitive to electricity price and vessel transit speed.« less

  8. Testing the robustness of optimal access vessel fleet selection for operation and maintenance of offshore wind farms

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

    Sperstad, Iver Bakken; Stålhane, Magnus; Dinwoodie, Iain

    Optimising the operation and maintenance (O&M) and logistics strategy of offshore wind farms implies the decision problem of selecting the vessel fleet for O&M. Different strategic decision support tools can be applied to this problem, but much uncertainty remains regarding both input data and modelling assumptions. Our paper aims to investigate and ultimately reduce this uncertainty by comparing four simulation tools, one mathematical optimisation tool and one analytic spreadsheet-based tool applied to select the O&M access vessel fleet that minimizes the total O&M cost of a reference wind farm. The comparison shows that the tools generally agree on the optimalmore » vessel fleet, but only partially agree on the relative ranking of the different vessel fleets in terms of total O&M cost. The robustness of the vessel fleet selection to various input data assumptions was tested, and the ranking was found to be particularly sensitive to the vessels' limiting significant wave height for turbine access. Also the parameter with the greatest discrepancy between the tools, implies that accurate quantification and modelling of this parameter is crucial. The ranking is moderately sensitive to turbine failure rates and vessel day rates but less sensitive to electricity price and vessel transit speed.« less

  9. A sediment-dispersal model for the South Texas continental shelf, northwest Gulf of Mexico

    USGS Publications Warehouse

    Shideler, G.L.

    1978-01-01

    Textural-distribution patterns of sea-floor sediments on the South Texas continental shelf between Matagorda Bay and the U.S.-Mexico international boundary were evaluated as part of a regional environmental-studies program. Sediment textural gradients support a conceptual model for the regional sediment-dispersal system, which is characterized by both net offshore transport and net south-trending coastwise transport components on a wind-dominated shelf. Coastwise transport results in the net southward migration of both palimpsest sandy mud composing the ancestral Brazos-Colorado delta flank in the northern sector, and modern mud composing the central sector; these migrating sediments are encroaching southward onto immobile relict muddy sands composing the ancestral Rio Grande delta in the southern sector. In the proposed model, the suspension transport of modern silt-enriched mud derived mainly from coastal sources is the dominant dispersal mechanism. Net offshore transport is attributed both to diffusion, and to the advective ebb-tide discharge of turbid lagoonal-estuarine waters from coastal inlets. Net southward transport is attributed mainly to advection by seasonally residual coastwise drift currents reflecting a winter-dominated hydraulic regime. Frequent winter storms characterized by relatively high-speed northerly winds that accompany the passage of cold fronts appear to be dominant regional dispersal agents. ?? 1978.

  10. Implementing speed reductions at specific interstate work zones from 65 mph to 35 mph : final report.

    DOT National Transportation Integrated Search

    2013-02-01

    Interstate preservation projects are commonly conducted at night and often require working in close proximity to ongoing traffic. Vehicle speed and speed variability in work zones is inextricably connected to the work zone design and the selected tra...

  11. Global Sea-level Changes Revealed in the Sediments of the Canterbury Basin, New Zealand: IODP Expedition 317

    NASA Astrophysics Data System (ADS)

    McHugh, C. M.; Fulthorpe, C.; Blum, P.; Rios, J.; Chow, Y.; Mishkin, K.

    2012-12-01

    Continental margins are composed of thick sedimentary sections that preserve the record of local processes modulated by global sea-level (eustatic) changes and climate. Understanding this regional variability permits us to extract the eustatic record. Integrated Ocean Drilling Program Expedition 317 drilled four sites in the offshore Canterbury Basin, eastern South Island of New Zealand, in water depths of 85 m to 320 m. One of the objectives of the expedition was to understand the influence of eustasy on continental margins sedimentation and to test the concepts of sequence stratigraphy. A high-resolution multiproxy approach that involves geochemical elemental analyses, lithostratigraphy and biostratigraphy is applied to understand the margin's sedimentation for the past ~5 million years. Multichannel seismic data (EW00-01 survey) provide a seismic sequence stratigraphic framework against which to interpret the multiproxy data. The mid- to late Pleistocene sedimentation is characterized by variable lithologies and changing facies. However, elemental compositions and facies follow predictable patterns within seismic sequences. Oxygen isotope measurements for the latest Pleistocene indicate that 100 ky Milankovich astronomical forcing controlled this variability. In contrast, Pliocene and early Pleistocene sediments are composed of repetitive siliciclastic and carbonate mud lithologies with less facies variability. Results of our analyses suggest that repetitive alternations of green and gray mud were deposited during warmer and cooler periods, respectively. Oxygen isotopes suggest that this cyclicity may reflect 40 ky Milankovich forcing. Ocean Drilling Program Legs 150 and 174A drilled on the New Jersey continental margin with similar objectives to those of Expedition 317. Results from this northern and southern hemisphere drilling reveal that eustasy, controlled by Milankovich forcing, strongly influences margin sedimentation and the formation of basin-wide unconformities. However, the correlation between eustasy and seismic sequence formation is not always one to one. High sedimentation rates in the Pleistocene offshore Canterbury Basin record a one- to-one correlation between glacioeustasy and seismic sequences, and in some sequences possibly a higher order frequency. But this is not the case for offshore New Jersey, where accumulation rates were lower and only the uppermost seismic sequences represent 100 ky cycles. Furthermore, Pliocene sedimentation in the Canterbury Basin was also controlled by eustasy, but does not show a one-to-one correlation between Milankovich cycles and seismic stratigraphy. Northern and southern hemisphere comparisons provide a powerful tool to better understand controls on regional sedimentation and extract a global signal.

  12. Phase dependence of transport-aperture coordination variability reveals control strategy of reach-to-grasp movements.

    PubMed

    Rand, Miya K; Shimansky, Y P; Hossain, Abul B M I; Stelmach, George E

    2010-11-01

    Based on an assumption of movement control optimality in reach-to-grasp movements, we have recently developed a mathematical model of transport-aperture coordination (TAC), according to which the hand-target distance is a function of hand velocity and acceleration, aperture magnitude, and aperture velocity and acceleration (Rand et al. in Exp Brain Res 188:263-274, 2008). Reach-to-grasp movements were performed by young adults under four different reaching speeds and two different transport distances. The residual error magnitude of fitting the above model to data across different trials and subjects was minimal for the aperture-closure phase, but relatively much greater for the aperture-opening phase, indicating considerable difference in TAC variability between those phases. This study's goal is to identify the main reasons for that difference and obtain insights into the control strategy of reach-to-grasp movements. TAC variability within the aperture-opening phase of a single trial was found minimal, indicating that TAC variability between trials was not due to execution noise, but rather a result of inter-trial and inter-subject variability of motor plan. At the same time, the dependence of the extent of trial-to-trial variability of TAC in that phase on the speed of hand transport was sharply inconsistent with the concept of speed-accuracy trade-off: the lower the speed, the larger the variability. Conversely, the dependence of the extent of TAC variability in the aperture-closure phase on hand transport speed was consistent with that concept. Taking into account recent evidence that the cost of neural information processing is substantial for movement planning, the dependence of TAC variability in the aperture-opening phase on task performance conditions suggests that it is not the movement time that the CNS saves in that phase, but the cost of neuro-computational resources and metabolic energy required for TAC regulation in that phase. Thus, the CNS performs a trade-off between that cost and TAC regulation accuracy. It is further discussed that such trade-off is possible because, due to a special control law that governs optimal switching from aperture opening to aperture closure, the inter-trial variability of the end of aperture opening does not affect the high accuracy of TAC regulation in the subsequent aperture-closure phase.

  13. Contribution of atmospheric circulation to recent off-shore sea-level variations in the Baltic Sea and the North Sea

    NASA Astrophysics Data System (ADS)

    Karabil, Sitar; Zorita, Eduardo; Hünicke, Birgit

    2018-01-01

    The main purpose of this study is to quantify the contribution of atmospheric factors to recent off-shore sea-level variability in the Baltic Sea and the North Sea on interannual timescales. For this purpose, we statistically analysed sea-level records from tide gauges and satellite altimetry and several climatic data sets covering the last century. Previous studies had concluded that the North Atlantic Oscillation (NAO) is the main pattern of atmospheric variability affecting sea level in the Baltic Sea and the North Sea in wintertime. However, we identify a different atmospheric circulation pattern that is more closely connected to sea-level variability than the NAO. This circulation pattern displays a link to sea level that remains stable through the 20th century, in contrast to the much more variable link between sea level and the NAO. We denote this atmospheric variability mode as the Baltic Sea and North Sea Oscillation (BANOS) index. The sea-level pressure (SLP) BANOS pattern displays an SLP dipole with centres of action located over (5° W, 45° N) and (20° E, 70° N) and this is distinct from the standard NAO SLP pattern in wintertime. In summertime, the discrepancy between the SLP BANOS and NAO patterns becomes clearer, with centres of action of the former located over (30° E, 45° N) and (20° E, 60° N). This index has a stronger connection to off-shore sea-level variability in the study area than the NAO in wintertime for the period 1993-2013, explaining locally up to 90 % of the interannual sea-level variance in winter and up to 79 % in summer. The eastern part of the Gulf of Finland is the area where the BANOS index is most sensitive to sea level in wintertime, whereas the Gulf of Riga is the most sensitive region in summertime. In the North Sea region, the maximum sea-level sensitivity to the BANOS pattern is located in the German Bight for both winter and summer seasons. We investigated, and when possible quantified, the contribution of several physical mechanisms which may explain the link between the sea-level variability and the atmospheric pattern described by the BANOS index. These mechanisms include the inverse barometer effect (IBE), freshwater balance, net energy surface flux and wind-induced water transport. We found that the most important mechanism is the IBE in both wintertime and summertime. Assuming a complete equilibration of seasonal sea level to the SLP gradients over this region, the IBE can explain up to 88 % of the sea-level variability attributed to the BANOS index in wintertime and 34 % in summertime. The net energy flux at the surface is found to be an important factor for the variation of sea level, explaining 35 % of sea-level variance in wintertime and a very small amount in summer. The freshwater flux could only explain 27 % of the variability in summertime and a negligible part in winter. In contrast to the NAO, the direct wind forcing associated with the SLP BANOS pattern does not lead to transport of water from the North Sea into the Baltic Sea in wintertime.

  14. Power Smoothing of a Variable-Speed Wind Turbine Generator in Association With the Rotor-Speed-Dependent Gain

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

    Kim, Yeonhee; Kang, Moses; Muljadi, Eduard

    This paper proposes a power-smoothing scheme for a variable-speed wind turbine generator (WTG) that can smooth out the WTG's fluctuating power caused by varying wind speeds, and thereby keep the system frequency within a narrow range. The proposed scheme employs an additional loop based on the system frequency deviation that operates in conjunction with the maximum power point tracking (MPPT) control loop. Unlike the conventional, fixed-gain scheme, its control gain is modified with the rotor speed. In the proposed scheme, the control gain is determined by considering the ratio of the output of the additional loop to that of themore » MPPT loop. To improve the contribution of the scheme toward maintaining the frequency while ensuring the stable operation of WTGs, in the low rotor speed region, the ratio is set to be proportional to the rotor speed; in the high rotor speed region, the ratio remains constant. The performance of the proposed scheme is investigated under varying wind conditions for the IEEE 14-bus system. The simulation results demonstrate that the scheme successfully operates regardless of the output power fluctuation of a WTG by adjusting the gain with the rotor speed, and thereby improves the frequency-regulating capability of a WTG.« less

  15. Effects of central nervous system drugs on driving: speed variability versus standard deviation of lateral position as outcome measure of the on-the-road driving test.

    PubMed

    Verster, Joris C; Roth, Thomas

    2014-01-01

    The on-the-road driving test in normal traffic is used to examine the impact of drugs on driving performance. This paper compares the sensitivity of standard deviation of lateral position (SDLP) and SD speed in detecting driving impairment. A literature search was conducted to identify studies applying the on-the-road driving test, examining the effects of anxiolytics, antidepressants, antihistamines, and hypnotics. The proportion of comparisons (treatment versus placebo) where a significant impairment was detected with SDLP and SD speed was compared. About 40% of 53 relevant papers did not report data on SD speed and/or SDLP. After placebo administration, the correlation between SDLP and SD speed was significant but did not explain much variance (r = 0.253, p = 0.0001). A significant correlation was found between ΔSDLP and ΔSD speed (treatment-placebo), explaining 48% of variance. When using SDLP as outcome measure, 67 significant treatment-placebo comparisons were found. Only 17 (25.4%) were significant when SD speed was used as outcome measure. Alternatively, for five treatment-placebo comparisons, a significant difference was found for SD speed but not for SDLP. Standard deviation of lateral position is a more sensitive outcome measure to detect driving impairment than speed variability.

  16. A computer program for the design and analysis of low-speed airfoils, supplement

    NASA Technical Reports Server (NTRS)

    Eppler, R.; Somers, D. M.

    1980-01-01

    Three new options were incorporated into an existing computer program for the design and analysis of low speed airfoils. These options permit the analysis of airfoils having variable chord (variable geometry), a boundary layer displacement iteration, and the analysis of the effect of single roughness elements. All three options are described in detail and are included in the FORTRAN IV computer program.

  17. figure1.nc

    EPA Pesticide Factsheets

    NetCDF file of the SREF standard deviation of wind speed and direction that was used to inject variability in the FDDA input.variable U_NDG_OLD contains standard deviation of wind speed (m/s)variable V_NDG_OLD contains the standard deviation of wind direction (deg)This dataset is associated with the following publication:Gilliam , R., C. Hogrefe , J. Godowitch, S. Napelenok , R. Mathur , and S.T. Rao. Impact of inherent meteorology uncertainty on air quality model predictions. JOURNAL OF GEOPHYSICAL RESEARCH-ATMOSPHERES. American Geophysical Union, Washington, DC, USA, 120(23): 12,259–12,280, (2015).

  18. Choice of Variables and Preconditioning for Time Dependent Problems

    NASA Technical Reports Server (NTRS)

    Turkel, Eli; Vatsa, Verr N.

    2003-01-01

    We consider the use of low speed preconditioning for time dependent problems. These are solved using a dual time step approach. We consider the effect of this dual time step on the parameter of the low speed preconditioning. In addition, we compare the use of two sets of variables, conservation and primitive variables, to solve the system. We show the effect of these choices on both the convergence to a steady state and the accuracy of the numerical solutions for low Mach number steady state and time dependent flows.

  19. Evidence of Late Pliocene-Early Pleistocene marine environments in the deep subsurface of the Lihue Basin, Kauai, Hawaii

    USGS Publications Warehouse

    Izuka, S.K.; Resig, J.M.

    2008-01-01

    Cuttings recovered from two deep exploratory wells in the Lihue Basin, Kauai, Hawaii, include fossiliferous marine deposits that offer an uncommon opportunity to study paleoenvironments from the deep subsurface in Hawaii and interpret the paleogeography and geologic history of Kauai. These deposits indicate that two marine incursions gave rise to protected shallow-water, low-energy embayments in the southern part of the Lihue Basin in the late Pliocene-early Pleistocene. During the first marine incursion, the embayment was initially zoned, with a variable-salinity environment nearshore and a normal-marine reef environment offshore. The offshore reef environment eventually evolved to a nearshore, variable-salinity environment as the outer part of the embayment shallowed. During the second marine incursion, the embayment had normal-marine to hypersaline conditions, which constitute a significant departure from the variable-salinity environment present during the first marine incursion. Large streams draining the southern Lihue Basin are a likely source of the freshwater that caused the salinity fluctuations evident in the fossils from the first marine incursion. Subsequent volcanic eruptions produced lava flows that buried the embayment and probably diverted much of the stream flow in the southern Lihue Basin northward, to its present point of discharge north of Kalepa Ridge. As a result, the embayment that formed during the second marine incursion received less freshwater, and a normal-marine to hypersaline environment developed. The shallow-water marine deposits, currently buried between 86 m and 185 m below present sea level, have implications for regional tectonics and global eustasy. Copyright ?? 2008, SEPM (Society for Sedimentary Geology).

  20. Heavy-Mineral Placer Potential Map of the U.S. Continental Shelf, Western and Northern Gulf of Mexico

    USGS Publications Warehouse

    Shideler, Gerald L.

    1988-01-01

    The establishment of the Exclusive Economic Zone (EEZ) in 1983 by Presidential Proclamation opened for natural resource exploration a vast offshore frontier area contiguous to the United States and its territories. The EEZ extends from the seaward limit of state waters (3 nautical mi from shore) to 200 nautical mi offshore, and it includes the continental shelves. Within the context of the EEZ natural resource assessment effort, the purpose of this study is to delineate, on a regional basis, the potential for heavy-mineral placers on the U.S. Continental Shelf in the western and northern Gulf of Mexico from the United States-Mexico border to the Alabama-Florida state line. This map is intended to serve as a general guide for placer exploration. It shows favorable sea-floor areas for placer occurrence in water depths ranging from 0 to 100 fathoms (600 ft). The map can be used as a guide for focusing costly exploratory efforts, such as coring operations and geophysical surveys. The potential economic value of heavy-mineral placer concentrations on the U.S. Continental Shelf is a function of both geologic and economic variables. Geologic variables include the composition and concentration of the heavy-mineral assemblages and their environment of deposition. Economic variables include the current world market price of extracted metals, as well as the cost of mining, processing, and marketing the metals. These economic factors, in turn, are tempered by the nation1s socio-political climate, which determines its need for specific mineral resources at any given time.

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