962 resultados para regime fundacional
Resumo:
The overall purpose of this study was to develop a thorough inspection regime for onsite wastewater treatment systems, which is practical and could be implemented on all site conditions across the country. With approximately 450,000 onsite wastewater treatment systems in Ireland a risk based methodology is required for site selection. This type of approach will identify the areas with the highest potential risk to human health and the environment and these sites should be inspected first. In order to gain the required knowledge to develop an inspection regime in-depth and extensive research was earned out. The following areas of pertinent interest were examined and reviewed, history of domestic wastewater treatment, relevant wastewater legislation and guidance documents and potential detrimental impacts. Analysis of a questionnaire from a prior study, which assessed the resources available and the types of inspections currently undertaken by Local authorities was carried out. In addition to the analysis of the questionnaire results, interviews were carried out with several experts involved in the area of domestic wastewater treatment. The interview focussed on twelve key questions which were directed towards the expert’s opinions on the vital aspects of developing an inspection regime. The background research, combined with the questionnaire analysis and information from the interviews provided a solid foundation for the development of an inspection regime. Chapter 8 outlines the inspection regime which has been developed for this study. The inspection regime includes a desktop study, consultation with the homeowners, visual site inspection, non-invasive site tests, and inspection of the treatment systems. The general opinion from the interviews carried out, was that a standardised approach for the inspections was necessary. For this reason an inspection form was produced which provides a standard systematic approach for inspectors to follow. This form is displayed in Appendix 3. The development of a risk based methodology for site selection was discussed and a procedure similar in approach to the Geological Survey of Irelands Groundwater Protection Schemes was proposed. The EPA is currently developing a risk based methodology, but it is not available to the general public yet. However, the EPA provided a copy of a paper outlining the key aspects of their methodology. The methodology will use risk maps which take account of the following parameters: housing density, areas with inadequate soil conditions, risk of water pollution through surface and subsurface pathways. Sites identified with having the highest potential risk to human health and the environment shall be inspected first. Based on the research carried out a number of recommendations were made which are outlined in Chapter 10. The principle conclusion was that, if these systems fail to operate satisfactorily, home owners need to understand that these systems dispose of the effluent to the 'ground' and the effluent becomes part of the hydrological cycle; therefore, they are a potential hazard to the environment and human health. It is the owners, their families and their neighbours who will be at most immediate risk.
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The authors studied the rainfall in Pesqueira (Pernambuco, Brasil) in a period of 48 years (1910 through 1957) by the method of orthogonal polynomials, degrees up to the fourth having been tried. None of them was significant, so that it seems that no trend is present. The mean observed was 679.00 mm., with standard error of the mean 205.5 mm., and a 30.3% coefficient of variation. The 95% level of probability would include annual rainfall from 263.9 up to 1094.1mm.
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Neste trabalho foram analisadas as relações entre a produção, o desenvolvimento vegetativo e a evapotranspiração de uma cultura de batata (Solanum tuberosum L.) submetida à três regimes de umidade, definidos pelos valores assumidos pelo potencial matricial da água do solo antes de se proceder as irrigações (-0,5; -1,0 e -5,0 bares) em três estádios de desenvolvimento das plantas. Com respeito à produção de tubérculos, ficou evidenciado que por ocasião da tuberização e desenvolvimento de um grande número de tubérculos, as plantas revelaram uma maior sensibilidade à redução da umidade do solo. Assim, ocorrendo deficits moderados (-1,0 bar) no período inicial de desenvolvimento, a produção não foi significativamente afetada. Isto foi atribuído, em parte, à recuperação parcial do crescimento vegetativo no estádio subseqüente, quando foram restabelecidas condições mais adequadas de umidade no solo. O mesmo não se verificou no tratamento submetido a deficits mais severos (-5,0 bares) no estádio inicial. Neste caso, o crescimento foi quase irreversivelmente reduzido, contribuindo para diminuir a produção e a eficiência de utilização de água pelas plantas. A redução da umidade do solo, a partir dos 60 dias após a emergência das plantas, não afetou a produção de tubérculos. Este procedimento concorreu para aumentar significativamente a eficiência de utilização de água. Além disso, havendo suspensão total da irrigação neste período, a senescência foi antecipada em 16 dias, em relação aos tratamentos submetidos a níveis de umidade mais elevados. O desenvolvimento vegetativo e a produção não foram igualmente afetados pela redução da umidade do solo. Conseqüentemente, o crescimento das plantas não parece se constituir em um índice absoluto da produção de tubérculos de batata.
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A produção de uma planta resulta do desenvolvimento integrado de inúmeros processos fisiológicos que, por sua vez, apresentam considerável individualidade nas interrelações com o meio ambiente. Neste trabalho foi observado o crescimento de plantas de batata (Solanum tuberosum L.), em condições de campo, quando submetidas a três regimes de umidade do solo, individualizados em três estádios fenológicos. O desenvolvimento vegetativo foi avaliado através de estimativas semanais da área foliar. Os resultados mostraram que ao final do primeiro estágio (cerca de 25 dias após a emergência das plantas) o desenvolvimento vegetativo nos tratamentos irrigados quando o potencial matricial da água do solo atingia -0,5 bar, superou, em cerca de 34%, àquele verificado nas plantas submetidas a déficits híbridos moderados (-1,0 bar) e, em aproximadamente 80%, aquelas sujeitas a déficits mais severos (-5,0 bares). Entretanto, a limitação do crescimento no primei 6 ro caso, foi parcialmente recuperada após o restabelecimento de condições mais adequadas de umidade no solo, no estádio intermediário. O mesmo não foi verificado onde ocorreram déficits hídricos mais severos no estádio inicial, quando o crescimento foi quase irreversivelmente reduzido. A intensa desidratação imposta após o completo desenvolvimento vegetativo apressou a senescência das plantas em relação aos tratamentos melhores supridos com água.
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O trabalho foi realizado com o objetivo de determinar a produção de matéria seca na planta pelos cultivares de trigo BH 1146, de porte alto e com tolerância a deficiência hídrica e IAC 24 - Tucuruí, de porte baixo e com média tolerância e deficiência hídrica, sendo ambas de ciclo médio, em duas disponibilidades de água, sequeiro e irrigado. 0 experimento foi conduzido em Latossolo Roxo, distrófico-argiloso, adubado com 20 kg de N e 90 kg de P2O5 por hectare. Para determinação do peso da matéria seca produzida das plantas, foram coletados ao 10 dias de idade, início de perfilhamento; aos 30 dias, elongamento do colmo; aos 50 dias, emborrachamento; aos 70 dias floração, aos 90 dias, grão leitoso; e aos 110 dias, maturação. Os resultados mostram que a irrigação determina mais acúmulo de matéria seca por planta e matéria Seca por área, nas duas cultivares e em todas as idades.
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From the classical gold standard up to the current ERM2 arrangement of the European Union, target zones have been a widely used exchange regime in contemporary history. This paper presents a benchmark model that rationalizes the choice of target zones over the rest of regimes: the fixed rate, the free float and the managed float. It is shown that the monetary authority may gain efficiency by reducing volatility of both the exchange rate and the interest rate at the same time. Furthermore, the model is consistent with some known stylized facts in the empirical literature that previous models were not able to produce, namely, the positive relation between the exchange rate and the interest rate differential, the degree of non-linearity of the function linking the exchage rate to fundamentals and the shape of the exchange rate stochastic distribution.
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The breakdown of the Bretton Woods system and the adoption of generalized oating exchange rates ushered in a new era of exchange rate volatility and uncer- tainty. This increased volatility lead economists to search for economic models able to describe observed exchange rate behavior. In the present paper we propose more general STAR transition functions which encompass both threshold nonlinearity and asymmetric e¤ects. Our framework allows for a gradual adjustment from one regime to another, and considers threshold e¤ects by encompassing other existing models, such as TAR models. We apply our methodology to three di¤erent exchange rate data-sets, one for developing countries, and o¢ cial nominal exchange rates, the sec- ond emerging market economies using black market exchange rates and the third for OECD economies.
Resumo:
The breakdown of the Bretton Woods system and the adoption of generalized oating exchange rates ushered in a new era of exchange rate volatility and uncer- tainty. This increased volatility lead economists to search for economic models able to describe observed exchange rate behavior. The present is a technical Appendix to Cerrato et al. (2009) and presents detailed simulations of the proposed methodology and additional empirical results.
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In Evans, Guse, and Honkapohja (2008) the intended steady state is locally but not globally stable under adaptive learning, and unstable deflationary paths can arise after large pessimistic shocks to expectations. In the current paper a modified model is presented that includes a locally stable stagnation regime as a possible outcome arising from large expectation shocks. Policy implications are examined. Sufficiently large temporary increases in government spending can dislodge the economy from the stagnation regime and restore the natural stabilizing dynamics. More specific policy proposals are presented and discussed.
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We develop methods for Bayesian inference in vector error correction models which are subject to a variety of switches in regime (e.g. Markov switches in regime or structural breaks). An important aspect of our approach is that we allow both the cointegrating vectors and the number of cointegrating relationships to change when the regime changes. We show how Bayesian model averaging or model selection methods can be used to deal with the high-dimensional model space that results. Our methods are used in an empirical study of the Fisher effect.
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NORTH SEA STUDY OCCASIONAL PAPER No. 111
Resumo:
We develop methods for Bayesian inference in vector error correction models which are subject to a variety of switches in regime (e.g. Markov switches in regime or structural breaks). An important aspect of our approach is that we allow both the cointegrating vectors and the number of cointegrating relationships to change when the regime changes. We show how Bayesian model averaging or model selection methods can be used to deal with the high-dimensional model space that results. Our methods are used in an empirical study of the Fisher e ffect.
Resumo:
This paper investigates the conduct of monetary and fiscal policy in the post-ERM period in the UK. Using a simple DSGE New Keynesian model of non-cooperative monetary and fiscal policy interactions under fiscal intra-period leadership, we demonstrate that the past policy in the UK is better explained by optimal policy under discretion than under commitment. We estimate policy objectives of both policy makers. We demonstrate that fiscal policy plays an important role in identifying the monetary policy regime.