67 resultados para Switch Fees
Resumo:
Executive Summary Tuulivoimateollisuus on kasvanut erittäin voimakkaasti 2000-luvulla, ja viime vuonna asennettiin maailmanlaajuisesti ennätysmäärä noin 42 GW uutta tuulivoimakapasiteettia. Kumulatiivinen asennettu kapasiteetti oli vuoden 2011 lopussa noin 241 GW, josta eniten Euroopassa, sitten Kaakkois-Aasiassa, etenkin Kiinassa ja kolmanneksi suurimpana markkina-alueena oli USA. Kiinassa oli eniten asennettua tuulivoimaa, 26 % maailman tuulivoimasta, toisena oli USA, sitten Saksa, Espanja ja Intia. Suurin osa asennetusta koko maailman kapasiteetista on maatuulivoimaa (onshore), merituulivoimaa (offshore) oli asennettu vajaat 4 GW. Teollisuus työllisti arviolta yli 560000 henkilöä maailmanlaajuisesti ja liiketoiminnan arvo oli noin 52 Mrd. euroa (73 Mrd. USD). Tuuliturbiineja oli maailmalla toiminnassa noin 200000 ja niiden keskikoko oli 1,2 MW. Turbiinien koko on tasaisesti kasvanut ja nykyisin suurimmat kaupalliset turbiinit ovat 6-7 MW kokoluokassa. Suomessa oli vuoden 2012 lopussa asennettuna 163 turbiinia yhteisteholtaan 288 MW, joten olemme huomattavasti jäljessä useimpia muita EU maita tuulivoiman hyödyntämisessä. Tuulivoimamarkkinoiden ennakoidaan kasvavan keskimäärin noin 10 % vuosittain, jolloin vuonna 2020 maailmassa olisi asennettuna kapasiteettia noin 900 GW, josta offshore tuulivoimaa 75 GW. Tällöin tuulivoimalla tuotettaisiin noin 8 % sähköntuotannosta, kun arvio vuodelle 2012 on 2,26 %. Nopeinta kasvu olisi Kaakkois-Aasiassa ja Pohjois-Amerikassa, merituulivoimaa sen sijaan asennettaisiin eniten Eurooppaan. Suomen ilmasto- ja energiastrategin mukainen tavoite on 2,5 GW tuulivoimaa vuonna 2020. Moderni turbiini koostuu seuraavista pääkomponenteista: tornista, kolmilapaisesta roottorista, vaihteistosta, generaattorista, ja elektroniikasta. Turbiinien hinta vaihtelee projektista ja käytetystä tekniikasta johtuen, mutta tämän hetkisenä keskiarvona voidaan käyttää noin 1 MEUR / MW hintaa Euroopassa ja Pohjois-Amerikassa. Kiinassa hinta on vähintään yhden kolmasosan halvempi. Turbiinihintojen ennakoidaan halventuvan jo lähivuosien kuluessa jopa 30 % johtuen muun muassa suuruuden ekonomiasta ja kiristyvästä kilpailusta. Kun mukaan lasketaan kaikki kulut, kuten suunnittelu, luvat, turbiinin perustukset ja kaapeloinnit, tulee asennetulle turbiinille keskihinnaksi noin 1,5 MEUR. Merituulivoima voi olla kaksi kertaa kalliimpi investointi. Generaattoreina käytetään tyypillisesti nopeita tai keskinopeita induktio- (DFIG) tai kestomagneettigeneraattoreita (PMSG) ja yleisesti kolmivaihteisia vaihteistoja. Hidasnopeuksisen (PMSG) suoravetogeneraattorin (DD) käyttö on kuitenkin yleistymässä, sillä tällöin vältetään vika-alttiin vaihteiston käyttö. Korkea toimintaluotettavuus on erityisen tärkeä merituulivoimaloissa. Suurimmat 15 turbiinivalmistajaa toimittivat viime vuonna lähes 90 % maailman tuulivoimaloista. Suurin toimija on tanskalainen Vestas, jonka liikevaihto vuonna 2011 oli noin 6 Mrd euroa ja henkilöstöä yli 22000. Suurimpien valmistajien joukossa oli 7 kiinalaista toimijaa, jotka ovat kasvaneet nopeasti viime vuosina. Useimmat turbiinivalmistajat valmistavat joitakin strategisia komponentteja itse tai ostavat ne omaan konserniin kuuluvalta tytäryhtiöltä ja ostavat muut komponentit ja materiaalit sopimusvalmistajilta. Yhtiöiden valmistusstrategiat kuitenkin vaihtelevat ”tehdään kaikki itse” strategiasta pelkkään avainkomponenttien kokoonpanoon ja turbiinin kokonaistoimitukseen. Tyypillisesti turbiinivalmistajia palvelee vakiintunut joukko kansainväliseen toimintaan kyvykkäitä komponenttitoimittajia varatoimittajineen. Kaiken kaikkiaan sekä turbiini- että komponenttivalmistajien kesken on tapahtunut viime vuosikymmenen kuluessa konsolidoitumista. Valmistus on myös globalisoitunut eli avainkomponentit ja etenkin isot komponentit valmistetaan lähellä asiakasta. Toisaalta kiristynyt hintakilpailu on johtanut siihen, että yritykset ovat siirtäneet tuotantoa Kiinaan, joka nykyisin onkin suurin komponenttien valmistusmaa. Alan keskittyminen ja globalisoituminen tullee jatkumaan myös tulevaisuudessa. Suomessa on eri sektoreilta tuulivoiman huippuosaamista, mutta kokonaisvaltaista tuulivoimaklusteria meillä ei ole. Sellaisen rakentaminen tai rakentuminen vie aikaa ja edellyttäisi selkeän veturiyrityksen olemassaoloa. Tuuliturbiinien kokonaistoimituksista yleensä vastaava turbiinivalmistaja olisi luonteva veturiyritys, mutta kotimaiset valmistajat (Winwind ja Mervento) ovat kansainvälisesti pieniä, ja niiden markkina-asema on haastava. Lisäksi Winwind on ajautunut vakavaan taloudelliseen kriisiin (velkojat hakevat yhtiöltä saataviaan käräjäoikeudessa tammikuussa 2013). Kotimaisille turbiinivalmistajille, kuten muillekin tuulivoima-alan toimijoille olisi ensisijaista, että kotimaiset investoinnit käynnistyisivät täysipainoisesti. Tämä tarkoittaisi paitsi liiketoimintamahdollisuuksia, niin kumuloituvaa osaamista ja ennen kaikkea referenssejä kansainvälistä kilpailua silmälläpitäen. Suomalaisten turbiinivalmistajien kilpailukykyisin businessalue löytynee erityisosaamisesta, kuten esimerkiksi arktisesta tuulivoimasektorista. Mahdollisesti liittoutumalla tai jonkin johtavan turbiinivalmistajan tytäryrityksenä suomalainen niche markkinoille erikoistunut turbiinivalmistus voisi menestyä tulevaisuuden kovenevassa kilpailussa. Kilpailu päämarkkinoilla johtavien turbiinivalmistajien kanssa tuskin tuo menestystä, sillä näiden resurssit ja referenssit ovat ylivertaiset ja osaaminenkin osin suomalaisia edellä. Suomalaista huippuosaamista edustavat muun muassa ABB, The Switch, Vacon, Vaisala, Prysmian sekä Moventas. Yhtiöiden markkina-alue on globaali ja etenkin ABB:n ja Prysmianin resurssit mittavat. Yhtiöillä on edellytykset menestyä jatkossakin kansainvälisesti tuulivoimaliiketoiminnan komponenttien ja systeemien toimittajina. Moventaksen haasteena on yrityksen taloudellinen tilanne ja kilpailukyky markkinoilla (koko henkilöstö lomautetaan määräajaksi keväällä 2013). Muun muassa paperikonevalmistuksen ja meriteollisuuden johdolla Suomeen on syntynyt vahva konepajaosaaminen ja alihankintaverkosto. Esimerkiksi Holming, Componenta, Häkkinen Group ja Metso Foundries palvelevat jo tuulivoimateollisuutta. Osa yhtiöistä toimii kansainvälisesti ja niillä on mahdollisuus jatkossakin palvella tuulivoimateollisuutta, etenkin Suomessa ja lähialueilla. Komponenttitoimittajien ja alihankkijoiden kansainvälistymisen haasteina ovat muun muassa Suomen syrjäinen sijainti Euroopan päämarkkinoilta ja päämiesten jo osin vakiintuneet toimittajaverkostot. Tuulivoiman suunnittelu ja konsultointi sekä käyttö ja kunnossapito tarjoavat suomalaisille yhtiöille liiketoimintamahdollisuuksia Suomessa ja lähialueilla. Merkittävää uutta potentiaalia edustaa telakkateollisuus, ennen muuta STX Finland. STX konsernissa osataan erikoislaivojen tekeminen, konserni omistaa jo turbiinivalmistajan ja konsernin strategiana on tulla merkittäväksi tuulivoimatoimijaksi. Offshore perustukset ja tornit voisivat luontevasti olla omaa tuotantoa oman turbiinivalmistuksen, tuulipuistojen käytön ja kunnossapidon sekä erikoislaivojen ohella. STX Finlandilla olisi potentiaalia toimia suomalaisen tuulivoimateollisuuden veturiyrityksenä. Yhtiön rahoitustilanne ja kilpailukyky ovat kuitenkin tällä hetkellä haastavat. Rautaruukilla on potentiaalia toimittaa muun muassa ristikkorakenteisia torneja ja Parmalla hybriditorneja tuulivoimateollisuudelle. Suomalaisen tuulivoimaosaamisen ja työllisyyden kannalta keskeistä on, että Suomen ilmasto- ja energiastrategian mukaiset tuulivoimainvestoinnit saataisiin viipymättä käyntiin ja investointiympäristö säilyisi suotuisana ja ennustettavana. Tuulivoiman syöttötariffi tukee tuulivoiman taloudellista kannattavuutta lähitulevaisuudessa, mutta tuulivoimarakentamisen rajoituksia ja esteitä tulee myös merkittävästi purkaa tai lieventää.”Työpaikkoja syntyy niihin maihin joissa tuulivoimaa rakennetaan”. Tuulivoima työllistää paitsi suunnittelu- ja rakentamisvaiheessa, niin erityisesti laitosten 20-30 vuoden käyttö- ja kunnossapitoaikana. Teknologiateollisuuden (2012) positiivisen kasvuskenaarion mukaan tuulivoimateollisuus voisi työllistää jopa 25-30000 henkilöä vuonna 2020 nykyisten noin 2000 sijasta ja alan liikevaihto voisi olla jopa 12-14 Mrd. euroa. Tällainen kasvuskenaario sisältää kyllä merkittäviä epävarmuustekijöitä ja Tarastin (2012) selvitys arvioikin kasvun ja työllisyyden kehittyvän kasvuskenaariossakin maltillisemmin. Todennäköisimmät menestysmahdollisuudet ovat alalla jo merkittävässä asemassa olevilla resursseiltaan vahvoilla ja kansainvälisillä yrityksillä. Monialayritykset kestävät pelkästään tuulivoima-alaan keskittyneitä yrityksiä paremmin alalle tyypilliset liiketoiminnan vaihtelut. Erikoistuminen ja uudet radikaalit innovaatiot voivat kuitenkin tuoda tuulivoimaliiketoimintaan täysin uusia toimijoita tai muuttaa nykyisten yritysten kilpailuasetelmia. Kaupallisesti menestyviä uusia keksintöjä harvoin kuitenkaan syntyy ilman panostuksia. Ensiarvoisen tärkeää olisi määritellä kansallinen tahtotila, millä resurssein ja mihin tuulivoimateollisuuden sektoreihin halutaan panostaa, ja kohdentaa resurssit siten, että alan yrityksillä, tutkimuslaitoksilla ja muilla toimijoilla olisi parhaat edellytykset kehittää kilpailukykyisiä tuotteita, palveluita ja systeemeitä. Potentiaalisten uusien teknologioiden ja suomalaisten toimijoiden syvällisempi tarkastelu voisikin olla mielenkiintoisen jatkotutkimuksen aihe.
Resumo:
Through advances in technology, System-on-Chip design is moving towards integrating tens to hundreds of intellectual property blocks into a single chip. In such a many-core system, on-chip communication becomes a performance bottleneck for high performance designs. Network-on-Chip (NoC) has emerged as a viable solution for the communication challenges in highly complex chips. The NoC architecture paradigm, based on a modular packet-switched mechanism, can address many of the on-chip communication challenges such as wiring complexity, communication latency, and bandwidth. Furthermore, the combined benefits of 3D IC and NoC schemes provide the possibility of designing a high performance system in a limited chip area. The major advantages of 3D NoCs are the considerable reductions in average latency and power consumption. There are several factors degrading the performance of NoCs. In this thesis, we investigate three main performance-limiting factors: network congestion, faults, and the lack of efficient multicast support. We address these issues by the means of routing algorithms. Congestion of data packets may lead to increased network latency and power consumption. Thus, we propose three different approaches for alleviating such congestion in the network. The first approach is based on measuring the congestion information in different regions of the network, distributing the information over the network, and utilizing this information when making a routing decision. The second approach employs a learning method to dynamically find the less congested routes according to the underlying traffic. The third approach is based on a fuzzy-logic technique to perform better routing decisions when traffic information of different routes is available. Faults affect performance significantly, as then packets should take longer paths in order to be routed around the faults, which in turn increases congestion around the faulty regions. We propose four methods to tolerate faults at the link and switch level by using only the shortest paths as long as such path exists. The unique characteristic among these methods is the toleration of faults while also maintaining the performance of NoCs. To the best of our knowledge, these algorithms are the first approaches to bypassing faults prior to reaching them while avoiding unnecessary misrouting of packets. Current implementations of multicast communication result in a significant performance loss for unicast traffic. This is due to the fact that the routing rules of multicast packets limit the adaptivity of unicast packets. We present an approach in which both unicast and multicast packets can be efficiently routed within the network. While suggesting a more efficient multicast support, the proposed approach does not affect the performance of unicast routing at all. In addition, in order to reduce the overall path length of multicast packets, we present several partitioning methods along with their analytical models for latency measurement. This approach is discussed in the context of 3D mesh networks.
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Auditor independence is a cornerstone of the auditing profession and the basic principle that underpins the reputation of the auditing profession in the public eye. Indeed, it is the attribute most demanded from auditors by the public. Therefore, the sustainability of the auditing profession depends on how auditors can protect this principle. This dissertation consists of four interrelated essays concerned with auditor independence. Specifically, it examines situations that can threaten and impair auditor independence. In addition, this dissertation also examines several variables that may enhance and protect auditor independence. The first essay aims to examine the impact of social pressures occurring within audit firms on auditors’ judgment in the setting of a society with “high power distance” and “low individualism” cultural dimensions. The social pressures consisted of obedience pressure exerted by an auditor’s superior and conformity pressure exerted by an auditor’s colleague. Moreover, two moderating variables—a multi-dimensional professional commitment and locus of control—were included as moderator variables in the relationship between the social pressures faced by auditors and their judgment. The findings show that obedience and conformity pressures influence auditor judgment. Auditors who face the social pressures will make a judgment that may be even diametrically opposite to the independence principle. The findings also indicate that a multi-dimensional professional commitment and locus of control may potentially influence auditor judgment in a situation with social pressures. The second essay aims to investigate the association of advocacy and familiarity threats caused by auditor fee dependence and auditor tenure on auditor independence based on Finnish data, law, and auditing environment. This essay was motivated by the Green Paper on Audit Policy, published by the European Commission in 2010 that questions whether the maximum fee collected from a client should be regulated and whether consecutive assignments should be limited, among others. Contrary to popular belief, this essay does not find evidence that audit fees and long auditor tenure will jeopardise auditor independence. Therefore, the findings do not support policies to regulate auditor fees or limit auditor tenure in Finland. The third essay aims to examine the effect of client intimidation on auditor independence in an audit-client conflict situation. Intimidation threat is one of five independence threats that are explicitly referenced in the IFAC’s independence framework. Client intimidation was manifested in the client threatening to replace the auditor if the auditor did not adopt the client’s position. In addition, this essay examines the role of auditor’s perceived pressure and multi-dimensions of professional commitment as moderator variables. The findings suggest that auditors who experience client intimidation in an audit conflict situation are more likely to have their independence impaired than those who are in a similar situation but without client intimidation. Moreover, auditors who experience client intimidation perceive higher pressure than those who do not experience intimidation. Finally, auditors’ affective and continuance professional commitment dimensions moderate the relationship between auditors’ perceived pressures and auditor independence. The aim of the fourth essay is twofold. First, it aims to develop a scale for measuring auditors’ reputation awareness. Second, it aims to examine the correlation between the levels of auditor reputation awareness and auditor independence. A seven-item scale was developed as the reputation awareness scale. The findings indicate that the scale consists of one dimension. It also has a level of satisfactory reliability and a high level of validity. The findings show that there is a positive correlation between the level of auditors’ reputation awareness and auditor independence.
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The purpose of this research is to examine factors affecting international students’ service quality expectations in higher education. The aim is pursued by investigating the international students’ quality expectations and the role of price, culture and personal values in forming these expectations. The theoretical part of this research is centered on themes related to service quality, the nature of educational services, the process of forming quality expectations and the antecedents of service quality expectations. The empirical part of the research was conducted with a quantitative method and the data was collected by using a web based questionnaire. The sample consisted of 268 students who applied to international master’s degree programmes in Finland in the spring of 2012. The response rate was 24,1 %. The research results show that personal values and culture affect the international students’ quality expectations of educational services but that price is not significantly related to the quality expectations.
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In nature, many animals use body coloration to communicate with each other. For example, colorations can be used as signals between individuals of the same species, but also to recognise individuals of other species, and if they may comprise a threat or not. Many animals use protective coloration to avoid predation. The two most common strategies of protective coloration are camouflage and aposematism. Camouflaged animals have coloration that minimises detection, usually by matching colours or structures in the background. Aposematic animals, on the other hand, signal to predators that they are defended. The defence can be physical structures, such as spikes and hairs, or chemical compounds that make the animal distasteful or even deadly toxic. In order for the warning signal to be effective, the predator has to recognise it as such. Studies have shown that birds for example, that are important visual predators on insects, learn to recognise and avoid unpalatable prey faster if they contrast the background or have large internal contrasts. Typical examples of aposematic species have conspicuous colours like yellow, orange or red, often in combination with black. My thesis focuses on the appearance and function of aposematic colour patterns. Even though researchers have studied aposematism for over a century, there is still a lot we do not know about the phenomenon. For example, as it is crucial that the predators recognise a warning signal, aposematic colorations should assumingly evolve homogeneously and be selected for maximal conspicuousness. Instead, there is an extensive variation of colours and patterns among warning colorations, and it is not uncommon to find typical cryptic colours, such as green and brown in aposematic colour patterns. One hypothesis to this variation is that an aposematic coloration does not have to be maximally signalling in order to be effective, instead it is sufficient to have distinct features that can be easily distinguished from edible prey. To be maximally conspicuous is one way to achieve this, but not the only way. Another hypothesis is that aposematic prey that do not exhibit maximal conspicuousness can exploit both camouflage and aposematism in a distance-dependent fashion, by being signalling when seen close up but camouflaged at a distance. Many prey animals also make use of both strategies by shifting colour at different ecological conditions such as seasonal variations, fluctuations in food resources or between life stages. Yet another explanation for the variation may be that prey animals are usually exposed to several predator species that vary in visual perception and tolerance towards various toxins. The aim with this thesis is, by studying their functions, to understand why aposematic warning signals vary in appearance, specifically in the level of conspicuousness, and if warning coloration can be combined with camouflage. In paper I, I investigated if the colour pattern of the aposematic larva of the Apollo butterfly (Parnassius apollo) can switch function with viewing distance, and be signalling at close range but camouflaged at a distance, by comparing detection time between different colour variants and distances. The results show that the natural coloration has a dual distance-dependent function. Moreover, the study shows that an aposematic coloration does not have to be selected for maximal conspicuousness. A prey animal can optimise its coloration primarily by avoiding detection, but also by investing in a secondary defence, which presence can be signalled if detected. In paper II, I studied how easily detected the coloration of the firebug (Pyrrhocoris apterus), a typical aposematic species, is at different distances against different natural backgrounds, by comparing detection time between different colour variants. Here, I found no distance-dependent switch in function. Instead, the results show that the coloration of the firebug is selected for maximal conspicuousness. One explanation for this is that the firebug is more mobile than the butterfly larva in study I, and movement is often incompatible with efficient camouflage. In paper III, I investigated if a seasonal related colour change in the chemically defended striated shieldbug (Graphosoma lineatum) is an adaptation to optimise a protective coloration by shifting from camouflage to aposematism between two seasons. The results confirm the hypothesis that the coloration expressed in the late summer has a camouflage function, blending in with the background. Further, I investigated if the internal pattern as such increased the effectiveness of the camouflage. Again, the results are in accordance with the hypothesis, as the patterned coloration was more difficult to detect than colorations lacking an internal pattern. This study shows how an aposematic species can optimise its defence by shifting from camouflage to aposematism, but in a different fashion than studied in paper I. The aim with study IV was to study the selection on aposematic signals by identifying characteristics that are common for colorations of aposematic species, and that distinguish them from colorations of other species. I compared contrast, pattern element size and colour proportion between a group of defended species and a group of undefended species. In contrast to my prediction, the results show no significant differences between the two groups in any of the analyses. One explanation for the non-significant results could be that there are no universal characteristics common for aposematic species. Instead, the selection pressures acting on defended species vary, and therefore affect their appearance differently. Another explanation is that all defended species may not have been selected for a conspicuous aposematic warning coloration. Taken together, my thesis shows that having a conspicuous warning coloration is not the only way to be aposematic. Also, aposematism and camouflage is not two mutually exclusive opposites, as there are prey species that exploit both strategies. It is also important to understand that prey animals are exposed to various selection pressures and trade-offs that affect their appearance, and determines what an optimal coloration is for each species or environment. In conclusion, I hold that the variation among warning colorations is larger and coloration properties that have been considered as archetypically aposematic may not be as widespread and representative as previously assumed.
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Binary probes are oligonucleotide probe pairs that hybridize adjacently to a complementary target nucleic acid. In order to detect this hybridization, the two probes can be modified with, for example, fluorescent molecules, chemically reactive groups or nucleic acid enzymes. The benefit of this kind of binary probe based approach is that the hybridization elicits a detectable signal which is distinguishable from background noise even though unbound probes are not removed by washing before measurement. In addition, the requirement of two simultaneous binding events increases specificity. Similarly to binary oligonucleotide probes, also certain enzymes and fluorescent proteins can be divided into two parts and used in separation-free assays. Split enzyme and fluorescent protein reporters have practical applications among others as tools to investigate protein-protein interactions within living cells. In this study, a novel label technology, switchable lanthanide luminescence, was introduced and used successfully in model assays for nucleic acid and protein detection. This label technology is based on a luminescent lanthanide chelate divided into two inherently non-luminescent moieties, an ion carrier chelate and a light harvesting antenna ligand. These form a highly luminescent complex when brought into close proximity; i.e., the label moieties switch from a dark state to a luminescent state. This kind of mixed lanthanide complex has the same beneficial photophysical properties as the more typical lanthanide chelates and cryptates - sharp emission peaks, long emission lifetime enabling time-resolved measurement, and large Stokes’ shift, which minimize the background signal. Furthermore, the switchable lanthanide luminescence technique enables a homogeneous assay set-up. Here, switchable lanthanide luminescence label technology was first applied to sensitive, homogeneous, single-target nucleic acid and protein assays with picomolar detection limits and high signal to background ratios. Thereafter, a homogeneous four-plex nucleic acid array-based assay was developed. Finally, the label technology was shown to be effective in discrimination of single nucleotide mismatched targets from fully matched targets and the luminescent complex formation was analyzed more thoroughly. In conclusion, this study demonstrates that the switchable lanthanide luminescencebased label technology can be used in various homogeneous bioanalytical assays.
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Työn tavoitteena oli kehitellä uusia ratkaisuita pintamagneettikoneen magneetin asennustapaan ja -työkaluun generaattoreita valmistavalle The Switch Drive Systems:lle. Asiaa lähdettiin lähestymään tekemällä alussa töitä magneetin asennustehtävissä. Tämän jälkeen aloitettiin suunnitteluprosessi, jossa sovellettiin järjestelmällistä koneensuunnittelua sekä konseptisuunnittelua. Työn tulokseksi saatiin useita eri periaatteilla toimivia magneetinasennustyökaluideoita, joiden avulla voidaan tulevaisuudessa siirtyä jatkosuunnitteluun ja työkalun valmistukseen.
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In this thesis, the main point of interest is the robust control of a DC/DC converter. The use of reactive components in the power conversion gives rise to dynamical effects in DC/DC converters and the dynamical effects of the converter mandates the use of active control. Active control uses measurements from the converter to correct errors present in the converter’s output. The controller needs to be able to perform in the presence of varying component values and different kinds of disturbances in loading and noises in measurements. Such a feature in control design is referred as robustness. This thesis also contains survey of general properties of DC/DC converters and their effects on control design. In this thesis, a linear robust control design method is studied. A robust controller is then designed and applied to the current control of a phase shifted full bridge converter. The experimental results are shown to match simulations.
Resumo:
Retaining players and re-attracting switching players has long been a central topic for SNG providers with regard to the post-adoption stage of playing an online game. However, there has not been much research which has explored players’ post-adoption behavior by incorporating the continuance intention and the switching intention. In addition, traditional IS continuance theories were mainly developed to investigate users’ continued use of utilitarian IS, and thus they may fall short when trying to explain the continued use of hedonic IS. Furthermore, compared to the richer literature on IS continuance, far too little attention has been paid to IS switching, leading to a dearth of knowledge on the subject, despite the increased incidence of the switching phenomenon in the IS field. By addressing the limitations of prior literature, this study seeks to examine the determinants of SNG players’ two different post-adoption behaviors, including the continuance intention and the switching intention. This study takes a positivist approach and uses survey research method to test five proposed research models based on Unified Theory of Acceptance and Use of Technology 2; Use and Gratification Theory; Push-Pull-Mooring model; Cognitive Dissonance Theory; and a self-developed model respectively with empirical data collected from the SNG players of one of the biggest SNG providers in China. A total of 3919 valid responses and 541 valid responses were used to examine the continuance intention and the switching intention, respectively. SEM is utilized as the data analysis method. The proposed research models are supported by the empirical data. The continuance intention is determined by enjoyment, fantasy, escapism, social interaction, social presence, social influence, achievement and habit. The switching intention is determined by enjoyment, satisfaction, subjective norms, descriptive norms, alternative attractiveness, the need for variety, change experience, and adaptation cost. This study contributes to IS theories in three important ways. Firstly, it shows IS switching should be included in IS post-adoption research together with IS continuance. Secondly, a modern IS is usually multi-functional and SNG players have multiple reasons for using a SNG, thus a player’s beliefs about the hedonic, social and utilitarian perceptions of their continued use of the SNG exert significant effects on the continuance intention. Thirdly, the determinants of the switch ing intention mainly exert push, pull, and mooring effects. Players’ beliefs about their current SNG and the available alternatives, as well as their individual characteristics are all significant determinants of the switching intention. SNG players combine these effects in order to formulate the switching intention. Finally, this study presents limitations and suggestions for future research.
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The greatest threat that the biodegradable waste causes on the environment is the methane produced in landfills by the decomposition of this waste. The Landfill Directive (1999/31/EC) aims to reduce the landfilling of biodegradable waste. In Finland, 31% of biodegradable municipal waste ended up into landfills in 2012. The pressure of reducing disposing into landfills is greatly increased by the forthcoming landfill ban on biodegradable waste in Finland. There is a need to discuss the need for increasing the utilization of biodegradable waste in regional renewable energy production to utilize the waste in a way that allows the best possibilities to reduce GHG emissions. The objectives of the thesis are: (1) to find important factors affecting renewable energy recovery possibilities from biodegradable waste, (2) to determine the main factors affecting the GHG balance of biogas production system and how to improve it and (3) to find ways to define energy performance of biogas production systems and what affects it. According to the thesis, the most important factors affecting the regional renewable energy possibilities from biodegradable waste are: the amount of available feedstock, properties of feedstock, selected utilization technologies, demand of energy and material products and the economic situation of utilizing the feedstocks. The biogas production by anaerobic digestion was seen as the main technology for utilizing biodegradable waste in agriculturally dense areas. The main reason for this is that manure was seen as the main feedstock, and it can be best utilized with anaerobic digestion, which can produce renewable energy while maintaining the spreading of nutrients on arable land. Biogas plants should be located close to the heat demand that would be enough to receive the produced heat also in the summer months and located close to the agricultural area where the digestate could be utilized. Another option for biogas use is to upgrade it to biomethane, which would require a location close to the natural gas grid. The most attractive masses for biogas production are municipal and industrial biodegradable waste because of gate fees the plant receives from them can provide over 80% of the income. On the other hand, directing gate fee masses for small-scale biogas plants could make dispersed biogas production more economical. In addition, the combustion of dry agricultural waste such as straw would provide a greater energy amount than utilizing them by anaerobic digestion. The complete energy performance assessment of biogas production system requires the use of more than one system boundary. These can then be used in calculating output–input ratios of biogas production, biogas plant, biogas utilization and biogas production system, which can be used to analyze different parts of the biogas production chain. At the moment, it is difficult to compare different biogas plants since there is a wide variation of definitions for energy performance of biogas production. A more consistent way of analyzing energy performance would allow comparing biogas plants with each other and other recovery systems and finding possible locations for further improvement. Both from the GHG emission balance and energy performance point of view, the energy consumption at the biogas plant was the most significant factor. Renewable energy use to fulfil the parasitic energy demand at the plant would be the most efficient way to reduce the GHG emissions at the plant. The GHG emission reductions could be increased by upgrading biogas to biomethane and displacing natural gas or petrol use in cars when compared to biogas CHP production. The emission reductions from displacing mineral fertilizers with digestate were seen less significant, and the greater N2O emissions from spreading digestate might surpass the emission reductions from displacing mineral fertilizers.
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The objective of this Master´s Thesis was to conduct a wide scale preliminary survey regarding the package requirements of a cultured dairy package, and to compare the currently used material polystyrene to other suitable packaging materials. Polystyrene has a long history of use in dairy cups, but in recent years its price has increased significantly compared to other common packaging materials. The overall environmental effects of a package and a package material are today a part of designing a sustainable product life cycle. In addition, in certain contexts there has been discussion of the risks posed by styrene polymer for the environment and for humans. These risks are also discussed in this thesis. Polystyrene (PS) is still the most widely used material in dairy cups. In recent years, polypropylene (PP) cups have appeared in increasing numbers on market shelves. This study focuses on the differences of the suitable polymers and examines the suitability of alternative “suitable” polymers with regards to dairy packaging. Aside from focusing on the cup manufacturer, this thesis also examines its subject matter from the viewpoint of the dairy customer, as well as observing the concrete implications of material changes in the overall value chain. It was known in advance that material permeability would be one of the determining factors and that gas transmission testing would be a significant part of the thesis. Mechanical tests were the second part of the testing process, providing information regarding package strength and protectiveness during the package’s life cycle. Production efficiency, along with uninterrupted stable production, was another important factor that was taken into consideration. These two issues are sometimes neglected in similar contexts due to their self-evident nature. In addition, materials used in production may have a surprising significance to the production and efficiency. Consistent high quality is also partly based on material selection. All of the aforementioned factors have been documented and the results have been analyzed by the development team at Coveris Rigid Finland. Coveris is now calculating the total finance effects and capacities should the material changes be implemented in practice. There are many factors in favor of switching to polypropylene at the moment. The overall production costs, as well as the environmental effects of resin production are the primary influences for said switch from the converters’ perspective.
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Pinnankorkeuden tunteminen kiehutusvesireaktorin painesäiliössä on erittäin tärkeää sen turvallisuusvaikutusten takia. Pinnankorkeutta mitataan vesipatsaiden korkeutta havaitsevien paine-eromittausten avulla. Säteilyturvakeskuksen YVL-ohjeiden mukaan turvallisuuteen vaikuttavien mittausten täytyy noudattaa moninkertaistus- ja erilaisuusperiaatteita. Yleensä erilaisuusperiaatetta on toteutettu käyttämällä erityyppisiä paine-eromittareita, mutta erilaisella fysikaalisella toimintaperiaatteella oleva mittaus olisi parempi ja toteuttaisi paremmin erilaisuusperiaatetta. Uimurikytkin olisi tällainen fysikaalisesti eri periaatteeseen perustuva pinnankorkeuden mittauslaite. Ydinvoimalaan tarkoitettu teknologia tulee kelpoistaa riippumattoman tahon toimesta ennen käyttöönottoa. Kelpoistamiskokeita varten Lappeenrannan teknillisen yliopiston Ydinturvallisuuden tutkimusyksikköön rakennettiin vuosina 2011–2013 kaksi koelaitteistoa. Näillä koelaitteistoilla tutkittiin uimurikytkimien toimintaa ja ominaisuuksia erilaisissa kiehutusvesireaktorin käyttötilanteissa. Koelaitteistot tarvitsivat toimiakseen automaatiojärjestelmät, jotka suunniteltiin pääosin noudattamalla suunnittelun elinkaarimallia sekä automaatiosuunnittelun sisältökokonaisuuksia. Automaatiojärjestelmien suunnittelu aloitettiin määrittelemällä koejärjestelyjen asettamat vaatimukset, jonka jälkeen tehtiin teknologiavalinnat. Seuraavaksi suunniteltiin automaatiojärjestelmien logiikkaohjelmistot, joiden kuvaukseen tämä työ pääasiassa keskittyy. Logiikkaohjelmistot toteutettiin graafisella National Instruments LabView -ohjelmointikielellä. Logiikkaohjelmistojen tuli hoitaa tiedonkeruuta, käyttöautomaatiota, turvallisuustehtäviä sekä kokeisiin liittyviä erikoistehtäviä. Ohjelmistot saatiin esikokeiden aikana toimimaan halutusti, ja varsinaiset kokeet voitiin suorittaa ilman merkittäviä ongelmia.
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Tutkielmassa tarkastellaan tilintarkastusyhtiöiden tarjoamien oheispalveluiden käytön vaikutuksia laskutettuihin tilintarkastuskuluihin suomalaisissa small cap -pörssiyrityksissä. Tarkoituksena on ottaa selvää, ovatko palveluista laskutetut kulut riippumattomia toisistaan.
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The aim of the work presented in this study was to demonstrate the wide applicability of a single-label quenching resonance energy transfer (QRET) assay based on time-resolved lanthanide luminescence. QRET technology is proximity dependent method utilizing weak and unspecific interaction between soluble quencher molecule and lanthanide chelate. The interaction between quencher and chelate is lost when the ligand binds to its target molecule. The properties of QRET technology are especially useful in high throughput screening (HTS) assays. At the beginning of this study, only end-point type QRET technology was available. To enable efficient study of enzymatic reactions, the QRET technology was further developed to enable measurement of reaction kinetics. This was performed using proteindeoxyribonuclei acid (DNA) interaction as a first tool to monitor reaction kinetics. Later, the QRET was used to study nucleotide exchange reaction kinetics and mutation induced effects to the small GTPase activity. Small GTPases act as a molecular switch shifting between active GTP bound and inactive GDP bound conformation. The possibility of monitoring reaction kinetics using the QRET technology was evaluated using two homogeneous assays: a direct growth factor detection assay and a nucleotide exchange monitoring assay with small GTPases. To complete the list, a heterogeneous assay for monitoring GTP hydrolysis using small GTPases, was developed. All these small GTPase assays could be performed using nanomolar protein concentrations without GTPase pretreatment. The results from these studies demonstrated that QRET technology can be used to monitor reaction kinetics and further enable the possibility to use the same method for screening.