968 resultados para Plandome Heights
Resumo:
Assessing wind conditions on complex terrain has become a hard task as terrain complexity increases. That is why there is a need to extrapolate in a reliable manner some wind parameters that determine wind farms viability such as annual average wind speed at all hub heights as well as turbulence intensities. The development of these tasks began in the early 90´s with the widely used linear model WAsP and WAsP Engineering especially designed for simple terrain with remarkable results on them but not so good on complex orographies. Simultaneously non-linearized Navier Stokes solvers have been rapidly developed in the last decade through CFD (Computational Fluid Dynamics) codes allowing simulating atmospheric boundary layer flows over steep complex terrain more accurately reducing uncertainties. This paper describes the features of these models by validating them through meteorological masts installed in a highly complex terrain. The study compares the results of the mentioned models in terms of wind speed and turbulence intensity.
Resumo:
Characteristics of the impacts suffered by the fruit on a transfer point of an experimental fruit packing line were analysed. The transfer is made up by two transporting belts at different heights forming an angle of 90°. These transfer points are very common in fruit packing lines, in which fruits receive two impacts: the first onto the belt base and the second into the lateral plate. Different tests were earned out to study the effect of transfer height, velocity, belt structure and padding on tire acceleration values recorded by an instrumental sphere (IS 100). Results showed that transfer height and belt structure affect mainly impact values on the belt base, and padding affects mainly impact values registered in lateral impact. The effect of belt velocity in both impacts is less important when compared to the rest of the variables. Additionally, two powered transfer decelerators were tested at the same point with the aim of decreasing impacts suffered by the fruit. Comparing impacts registered using these decelerators to those analysed in the first part of the study without decelerators a high reduction of the impact values was observed.
Resumo:
The purpose of this research is to assess the effectiveness of a ship used as a detached floating breakwater for coastal protection and forming salients of sand or tombolos. Floating breakwaters have been extensively used as port or coastal protection structures and display advantages in terms of construction and ecology, amongst others. However, the greatest problem these structures present is the limited range of wave heights and periods for which they are really effective. Furthermore, ships may be considered as floating structures which, used as breakwaters, would keep the advantages of floating breakwaters and would increase their range of applicability. The possibility of using ships at the conclusion of their useful life for this purpose would also involve greater economic and environmental advantages. Tests were carried out to assess the ship’s effectiveness as a detached floating breakwater using a scaled down physical model to determine the vessel’s transmission coefficient (Kt) as to regular waves with significant periods of 5 sec to 12 sec and significant wave heights of 1.5 m to 4 m at depths from 20 m to 35 m. The ship proves effective for waves up to 4 m significant height and significant periods up to 9 sec. Hanson and Kraus and Pilarzyk’s analytical models, which take transmission coefficients into account, were used to analyse the shore’s response to the breakwater protection. The results obtained show that salients form for waves with periods between 6 sec and 9 sec. It is also concluded that the depths tested are far different from the more usual shallow water involved in constructing detached breakwaters and the shore’s response is therefore scarce.
Resumo:
In recent years, remote sensing imaging systems for the measurement of oceanic sea states have attracted renovated attention. Imaging technology is economical, non-invasive and enables a better understanding of the space-time dynamics of ocean waves over an area rather than at selected point locations of previous monitoring methods (buoys, wave gauges, etc.). We present recent progress in space-time measurement of ocean waves using stereo vision systems on offshore platforms, which focus on sea states with wavelengths in the range of 0.01 m to 1 m. Both traditional disparity-based systems and modern elevation-based ones are presented in a variational optimization framework: the main idea is to pose the stereoscopic reconstruction problem of the surface of the ocean in a variational setting and design an energy functional whose minimizer is the desired temporal sequence of wave heights. The functional combines photometric observations as well as spatial and temporal smoothness priors. Disparity methods estimate the disparity between images as an intermediate step toward retrieving the depth of the waves with respect to the cameras, whereas elevation methods estimate the ocean surface displacements directly in 3-D space. Both techniques are used to measure ocean waves from real data collected at offshore platforms in the Black Sea (Crimean Peninsula, Ukraine) and the Northern Adriatic Sea (Venice coast, Italy). Then, the statistical and spectral properties of the resulting observed waves are analyzed. We show the advantages and disadvantages of the presented stereo vision systems and discuss future lines of research to improve their performance in critical issues such as the robustness of the camera calibration in spite of undesired variations of the camera parameters or the processing time that it takes to retrieve ocean wave measurements from the stereo videos, which are very large datasets that need to be processed efficiently to be of practical usage. Multiresolution and short-time approaches would improve efficiency and scalability of the techniques so that wave displacements are obtained in feasible times.
Resumo:
The aim of this paper is to explain the chloride concentration profiles obtained experimentally from control samples of an offshore platform after 25 years of service life. The platform is located 12 km off the coast of the Brazilian province Rio Grande do Norte, in the north-east of Brazil. The samples were extracted at different orientations and heights above mean sea level. A simple model based on Fick’s second law is considered and compared with a finite element model which takes into account transport of chloride ions by diffusion and convection. Results show that convective flows significantly affect the studied chloride penetrations. The convection velocity is obtained by fitting the finite element solution to the experimental data and seems to be directly proportional to the height above mean sea level and also seems to depend on the orientation of the face of the platform. This work shows that considering solely diffusion as transport mechanism does not allow a good prediction of the chloride profiles. Accounting for capillary suction due to moisture gradients permits a better interpretation of the material’s behaviour.
Resumo:
Along the Apulian Adriatic coast, in a cliff south of Trani, a succession of three units (superimposed on one another) of marine and/or paralic environments has been recognised. The lowest unit I is characterised by calcareous/siliciclastic sands (css), micritic limestones (ml), stromatolitic and characean boundstones (scb), characean calcarenites (cc). The sedimentary environment merges from shallow marine, with low energy and temporary episodes of subaerial exposure, to lagoonal with a few exchanges with the sea. The lagoonal stromatolites (scb subunit) grew during a long period of relative stability of a high sea level in tropical climate. The unit I is truncated at the top by an erosion surface on which the unit II overlies; this consists of a basal pebble lag (bpl), silicicla - stic sands (ss), calcareous sands (cs), characean boundstones (cb), brown paleosol (bp). The sedimentary environment varies from beach to lagoon with salinity variations. Although there are indications of seismic events within the subunits cs, unit II deposition took place in a context of relative stability. The unit II is referable to a sea level highstand. Unit III, trangressive on the preceding, consists of white calcareous sands (wcs), calcareous sands and calcarenites (csc), phytoclastic calcirudite and phytohermal travertine (pcpt), mixed deposits (csl, m, k, c), sands (s) and red/brown paleosols (rbp). The sedimentation of this unit was affected by synsedimentary tectonic, attested by seismites found at several heights. Also the unit III is referable to a sea level highstand. The scientific literature has so far generally attributed to the Tyrrhenian (auct.) the deposits of Trani cliff. As part of this work some datings were performed on 10 samples, using the amino acid racemization method (AAR) applied to ostracod carapaces. Four of these samples have been rejected because they have shown in laboratory recent contamination. The numerical ages indicate that the deposits of the Trani cliff are older than MIS 5. The upper part of the unit I has been dated to 355±85 ka BP, thus allowing to assign the lowest stromatolitic subunit (scb) at the MIS 11 peak and the top of the unit I at the MIS 11-MIS 10 interval. The base of the unit II has been dated to 333±118 ka BP, thus attributing the erosion surface that bounds the units I and II to the MIS 10 lowstand and the lower part of the unit II to MIS 9.3. The upper part of the unit II has been dated to 234±35 ka BP, while three other numerical ages come from unit III: 303±35, 267±51, 247±61 ka BP. At present, the numerical ages cannot distinguish the sedimentation ages of units II and III, which are both related to the MIS 9.3- MIS 7.1 time range. However, the position of the units, superimposed one another, and their respective age, allows us to recognise a subsidence phase between MIS 11 and MIS 7, followed by an uplift phase between the MIS 7 and the present day, which led the deposits in their current position. This tectonic pattern is not in full agreement with what is described in the literature for the Apulian foreland.
Resumo:
In a crosswind scenario, the risk of high-speed trains overturning increases when they run on viaducts since the aerodynamic loads are higher than on the ground. In order to increase safety, vehicles are sheltered by fences that are installed on the viaduct to reduce the loads experienced by the train. Windbreaks can be designed to have different heights, and with or without eaves on the top. In this paper, a parametric study with a total of 12 fence designs was carried out using a two-dimensional model of a train standing on a viaduct. To asses the relative effectiveness of sheltering devices, tests were done in a wind tunnel with a scaled model at a Reynolds number of 1 × 105, and the train’s aerodynamic coefficients were measured. Experimental results were compared with those predicted by Unsteady Reynolds-averaged Navier-Stokes (URANS) simulations of flow, showing that a computational model is able to satisfactorily predict the trend of the aerodynamic coefficients. In a second set of tests, the Reynolds number was increased to 12 × 106 (at a free flow air velocity of 30 m/s) in order to simulate strong wind conditions. The aerodynamic coefficients showed a similar trend for both Reynolds numbers; however, their numerical value changed enough to indicate that simulations at the lower Reynolds number do not provide all required information. Furthermore, the variation of coefficients in the simulations allowed an explanation of how fences modified the flow around the vehicle to be proposed. This made it clear why increasing fence height reduced all the coefficients but adding an eave had an effect mainly on the lift force coefficient. Finally, by analysing the time signals it was possible to clarify the influence of the Reynolds number on the peak-to-peak amplitude, the time period and the Strouhal number.
Resumo:
Impact techniques can be used to evaluate firmness on fruit. Chen and Ruiz-Altisent developed and used a 50,4 g impactor with a 19 mm diameter spherical tip, dropping from different heights onto the fruit. Another impactor device is a semispherical impacting tip attached to the end of a pivoting arm. In both devices a small accelerometer is mounted behind the impacting tip. Prototype lateral impactor on-line sorting system for high-speed firmness sorting of fruits has been developed and tested. Preliminary results shows that is possible its use on-line. The last version of an impact device has new elements that improve the data resolution, the signal-noise ratio and the precision.
Resumo:
Characterization of a 90° Transfer Point in a Fruit Packing Line. Characteristics of the impacts suffered by the fruit on a transfer point of an experimental fruit packing line were analysed. The transfer is made up by two transporting belts at different heights forming an angle of 90°. Different tests were carried out to study the effect of transfer height, velocity, belt structure and padding on the acceleration values recorded by an instrumental sphere (IS 100). Results showed that transfer height and belt structure affect mainly impact values on the belt base, and padding affects mainly impact values registered in lateral impact. Two powered transfer decelerators were tested at the same point with the aim of decreasing impacts suffered by the fruit.
Resumo:
El geoide, definido como la superficie equipotencial que mejor se ajusta (en el sentido de los mínimos cuadrados) al nivel medio del mar en una determinada época, es la superficie que utilizamos como referencia para determinar las altitudes ortométricas. Si disponemos de una superficie equipotencial de referencia como dátum altimétrico preciso o geoide local, podemos entonces determinar las altitudes ortométricas de forma eficiente a partir de las altitudes elipsoidales proporcionadas por el Sistema Global de Navegación por Satélite (Global Navigation Satellite System, GNSS ). Como es sabido uno de los problemas no resueltos de la geodesia (quizás el más importante de los mismos en la actualidad) es la carencia de un dátum altimétrico global (Sjoberg, 2011) con las precisiones adecuadas. Al no existir un dátum altimétrico global que nos permita obtener los valores absolutos de la ondulación del geoide con la precisión requerida, es necesario emplear modelos geopotenciales como alternativa. Recientemente fue publicado el modelo EGM2008 en el que ha habido una notable mejoría de sus tres fuentes de datos, por lo que este modelo contiene coeficientes adicionales hasta el grado 2190 y orden 2159 y supone una sustancial mejora en la precisión (Pavlis et al., 2008). Cuando en una región determinada se dispone de valores de gravedad y Modelos Digitales del Terreno (MDT) de calidad, es posible obtener modelos de superficies geopotenciales más precisos y de mayor resolución que los modelos globales. Si bien es cierto que el Servicio Nacional Geodésico de los Estados Unidos de América (National Geodetic Survey, NGS) ha estado desarrollando modelos del geoide para la región de los Estados Unidos de América continentales y todos sus territorios desde la década de los noventa, también es cierto que las zonas de Puerto Rico y las Islas Vírgenes Estadounidenses han quedado un poco rezagadas al momento de poder aplicar y obtener resultados de mayor precisión con estos modelos regionales del geoide. En la actualidad, el modelo geopotencial regional vigente para la zona de Puerto Rico y las Islas Vírgenes Estadounidenses es el GEOID12A (Roman y Weston, 2012). Dada la necesidad y ante la incertidumbre de saber cuál sería el comportamiento de un modelo del geoide desarrollado única y exclusivamente con datos de gravedad locales, nos hemos dado a la tarea de desarrollar un modelo de geoide gravimétrico como sistema de referencia para las altitudes ortométricas. Para desarrollar un modelo del geoide gravimétrico en la isla de Puerto Rico, fue necesario implementar una metodología que nos permitiera analizar y validar los datos de gravedad terrestre existentes. Utilizando validación por altimetría con sistemas de información geográfica y validación matemática por colocación con el programa Gravsoft (Tscherning et al., 1994) en su modalidad en Python (Nielsen et al., 2012), fue posible validar 1673 datos de anomalías aire libre de un total de 1894 observaciones obtenidas de la base de datos del Bureau Gravimétrico Internacional (BGI). El aplicar estas metodologías nos permitió obtener una base de datos anomalías de la gravedad fiable la cual puede ser utilizada para una gran cantidad de aplicaciones en ciencia e ingeniería. Ante la poca densidad de datos de gravedad existentes, fue necesario emplear un método alternativo para densificar los valores de anomalías aire libre existentes. Empleando una metodología propuesta por Jekeli et al. (2009b) se procedió a determinar anomalías aire libre a partir de los datos de un MDT. Estas anomalías fueron ajustadas utilizando las anomalías aire libre validadas y tras aplicar un ajuste de mínimos cuadrados por zonas geográficas, fue posible obtener una malla de datos de anomalías aire libre uniforme a partir de un MDT. Tras realizar las correcciones topográficas, determinar el efecto indirecto de la topografía del terreno y la contribución del modelo geopotencial EGM2008, se obtuvo una malla de anomalías residuales. Estas anomalías residuales fueron utilizadas para determinar el geoide gravimétrico utilizando varias técnicas entre las que se encuentran la aproximación plana de la función de Stokes y las modificaciones al núcleo de Stokes, propuestas por Wong y Gore (1969), Vanicek y Kleusberg (1987) y Featherstone et al. (1998). Ya determinados los distintos modelos del geoide gravimétrico, fue necesario validar los mismos y para eso se utilizaron una serie de estaciones permanentes de la red de nivelación del Datum Vertical de Puerto Rico de 2002 (Puerto Rico Vertical Datum 2002, PRVD02 ), las cuales tenían publicados sus valores de altitud elipsoidal y elevación. Ante la ausencia de altitudes ortométricas en las estaciones permanentes de la red de nivelación, se utilizaron las elevaciones obtenidas a partir de nivelación de primer orden para determinar los valores de la ondulación del geoide geométrico (Roman et al., 2013). Tras establecer un total de 990 líneas base, se realizaron dos análisis para determinar la 'precisión' de los modelos del geoide. En el primer análisis, que consistió en analizar las diferencias entre los incrementos de la ondulación del geoide geométrico y los incrementos de la ondulación del geoide de los distintos modelos (modelos gravimétricos, EGM2008 y GEOID12A) en función de las distancias entre las estaciones de validación, se encontró que el modelo con la modificación del núcleo de Stokes propuesta por Wong y Gore presentó la mejor 'precisión' en un 91,1% de los tramos analizados. En un segundo análisis, en el que se consideraron las 990 líneas base, se determinaron las diferencias entre los incrementos de la ondulación del geoide geométrico y los incrementos de la ondulación del geoide de los distintos modelos (modelos gravimétricos, EGM2008 y GEOID12A), encontrando que el modelo que presenta la mayor 'precisión' también era el geoide con la modificación del núcleo de Stokes propuesta por Wong y Gore. En este análisis, el modelo del geoide gravimétrico de Wong y Gore presento una 'precisión' de 0,027 metros en comparación con la 'precisión' del modelo EGM2008 que fue de 0,031 metros mientras que la 'precisión' del modelo regional GEOID12A fue de 0,057 metros. Finalmente podemos decir que la metodología aquí presentada es una adecuada ya que fue posible obtener un modelo del geoide gravimétrico que presenta una mayor 'precisión' que los modelos geopotenciales disponibles, incluso superando la precisión del modelo geopotencial global EGM2008. ABSTRACT The geoid, defined as the equipotential surface that best fits (in the least squares sense) to the mean sea level at a particular time, is the surface used as a reference to determine the orthometric heights. If we have an equipotential reference surface or a precise local geoid, we can then determine the orthometric heights efficiently from the ellipsoidal heights, provided by the Global Navigation Satellite System (GNSS). One of the most common and important an unsolved problem in geodesy is the lack of a global altimetric datum (Sjoberg, 2011)) with the appropriate precision. In the absence of one which allows us to obtain the absolute values of the geoid undulation with the required precision, it is necessary to use alternative geopotential models. The EGM2008 was recently published, in which there has been a marked improvement of its three data sources, so this model contains additional coefficients of degree up to 2190 and order 2159, and there is a substantial improvement in accuracy (Pavlis et al., 2008). When a given region has gravity values and high quality digital terrain models (DTM), it is possible to obtain more accurate regional geopotential models, with a higher resolution and precision, than global geopotential models. It is true that the National Geodetic Survey of the United States of America (NGS) has been developing geoid models for the region of the continental United States of America and its territories from the nineties, but which is also true is that areas such as Puerto Rico and the U.S. Virgin Islands have lagged behind when to apply and get more accurate results with these regional geopotential models. Right now, the available geopotential model for Puerto Rico and the U.S. Virgin Islands is the GEOID12A (Roman y Weston, 2012). Given this need and given the uncertainty of knowing the behavior of a regional geoid model developed exclusively with data from local gravity, we have taken on the task of developing a gravimetric geoid model to use as a reference system for orthometric heights. To develop a gravimetric geoid model in the island of Puerto Rico, implementing a methodology that allows us to analyze and validate the existing terrestrial gravity data is a must. Using altimetry validation with GIS and mathematical validation by collocation with the Gravsoft suite programs (Tscherning et al., 1994) in its Python version (Nielsen et al., 2012), it was possible to validate 1673 observations with gravity anomalies values out of a total of 1894 observations obtained from the International Bureau Gravimetric (BGI ) database. Applying these methodologies allowed us to obtain a database of reliable gravity anomalies, which can be used for many applications in science and engineering. Given the low density of existing gravity data, it was necessary to employ an alternative method for densifying the existing gravity anomalies set. Employing the methodology proposed by Jekeli et al. (2009b) we proceeded to determine gravity anomaly data from a DTM. These anomalies were adjusted by using the validated free-air gravity anomalies and, after that, applying the best fit in the least-square sense by geographical area, it was possible to obtain a uniform grid of free-air anomalies obtained from a DTM. After applying the topographic corrections, determining the indirect effect of topography and the contribution of the global geopotential model EGM2008, a grid of residual anomalies was obtained. These residual anomalies were used to determine the gravimetric geoid by using various techniques, among which are the planar approximation of the Stokes function and the modifications of the Stokes kernel, proposed by Wong y Gore (1969), Vanicek y Kleusberg (1987) and Featherstone et al. (1998). After determining the different gravimetric geoid models, it was necessary to validate them by using a series of stations of the Puerto Rico Vertical Datum of 2002 (PRVD02) leveling network. These stations had published its values of ellipsoidal height and elevation, and in the absence of orthometric heights, we use the elevations obtained from first - order leveling to determine the geometric geoid undulation (Roman et al., 2013). After determine a total of 990 baselines, two analyzes were performed to determine the ' accuracy ' of the geoid models. The first analysis was to analyze the differences between the increments of the geometric geoid undulation with the increments of the geoid undulation of the different geoid models (gravimetric models, EGM2008 and GEOID12A) in function of the distance between the validation stations. Through this analysis, it was determined that the model with the modified Stokes kernel given by Wong and Gore had the best 'accuracy' in 91,1% for the analyzed baselines. In the second analysis, in which we considered the 990 baselines, we analyze the differences between the increments of the geometric geoid undulation with the increments of the geoid undulation of the different geoid models (gravimetric models, EGM2008 and GEOID12A) finding that the model with the highest 'accuracy' was also the model with modifying Stokes kernel given by Wong and Gore. In this analysis, the Wong and Gore gravimetric geoid model presented an 'accuracy' of 0,027 meters in comparison with the 'accuracy' of global geopotential model EGM2008, which gave us an 'accuracy' of 0,031 meters, while the 'accuracy ' of the GEOID12A regional model was 0,057 meters. Finally we can say that the methodology presented here is adequate as it was possible to obtain a gravimetric geoid model that has a greater 'accuracy' than the geopotential models available, even surpassing the accuracy of global geopotential model EGM2008.
Resumo:
The linear instability and breakdown to turbulence induced by an isolated roughness element in a boundary layer at Mach 2:5, over an isothermal flat plate with laminar adiabatic wall temperature, have been analysed by means of direct numerical simulations, aided by spatial BiGlobal and three-dimensional parabolized (PSE-3D) stability analyses. It is important to understand transition in this flow regime since the process can be slower than in incompressible flow and is crucial to prediction of local heat loads on next-generation flight vehicles. The results show that the roughness element, with a height of the order of the boundary layer displacement thickness, generates a highly unstable wake, which is composed of a low-velocity streak surrounded by a three-dimensional high-shear layer and is able to sustain the rapid growth of a number of instability modes. The most unstable of these modes are associated with varicose or sinuous deformations of the low-velocity streak; they are a consequence of the instability developing in the three-dimensional shear layer as a whole (the varicose mode) or in the lateral shear layers (the sinuous mode). The most unstable wake mode is of the varicose type and grows on average 17% faster tan the most unstable sinuous mode and 30 times faster than the most unstable boundary layer mode occurring in the absence of a roughness element. Due to the high growthrates registered in the presence of the roughness element, an amplification factor of N D 9 is reached within 50 roughness heights from the roughness trailing edge. The independently performed Navier–Stokes, spatial BiGlobal and PSE-3D stability results are in excellent agreement with each other, validating the use of simplified theories for roughness-induced transition involving wake instabilities. Following the linear stages of the laminar–turbulent transition process, the roll-up of the three-dimensional shear layer leads to the formation of a wedge of turbulence, which spreads laterally at a rate similar to that observed in the case of compressible turbulent spots for the same Mach number.
Resumo:
Remote sensing imaging systems for the measurement of oceanic sea states have recently attracted renovated attention. Imaging technology is economical, non-invasive and enables a better understanding of the space-time dynamics of ocean waves over an area rather than at selected point locations of previous monitoring methods (buoys, wave gauges, etc.). We present recent progress in space-time measurement of ocean waves using stereo vision systems on offshore platforms. Both traditional disparity-based systems and modern elevation-based ones are presented in a variational optimization framework: the main idea is to pose the stereoscopic reconstruction problem of the surface of the ocean in a variational setting and design an energy functional whose minimizer is the desired temporal sequence of wave heights. The functional combines photometric observations as well as spatial and temporal smoothness priors. Disparity methods estimate the disparity between images as an intermediate step toward retrieving the depth of the waves with respect to the cameras, whereas elevation methods estimate the ocean surface displacements directly in 3-D space. Both techniques are used to measure ocean waves from real data collected at offshore platforms in the Black Sea (Crimean Peninsula, Ukraine) and the Northern Adriatic Sea (Venice coast, Italy). Then, the statistical and spectral properties of the resulting observed waves are analyzed. We show the advantages and disadvantages of the presented stereo vision systems and discuss the improvement of their performance in critical issues such as the robustness of the camera calibration in spite of undesired variations of the camera parameters.
Resumo:
A sensitivity analysis has been performed to assess the influence of the inertial properties of railway vehicles on their dynamic behaviour. To do this, 216 dynamic simulations were performed modifying, one at a time, the masses, moments of inertia and heights of the centre of gravity of the carbody, the bogie and the wheelset. Three values were assigned to each parameter, corresponding to the percentiles 10, 50 and 90 of a data set stored in a database of railway vehicles. After processing the results of these simulations, the analyzed parameters were sorted by increasing influence. It was also found which of these parameters could be estimated with a lesser degree of accuracy for future simulations without appreciably affecting the simulation results. In general terms, it was concluded that the most sensitive inertial properties are the mass and the vertical moment of inertia, and the least sensitive ones the longitudinal and lateral moments of inertia.
Resumo:
Análisis de la atenuación del oleaje por un carguero funcionando como dique flotante y aplicación a dos casos de protección portuaria y costera. The effectiveness of a bulk carrier working as a detached floating breakwater to protect a stretch of coast and form salients or tombolos is assessed in this paper. Experiments were conducted in the Madrid CEDEX facilities in a 30 m long, 3 m wide, 1/150 scale flume. The bulk carrier ship is 205 m long, 29 m wide and 18 m in height with a draught of 13 m, and has been subjected to irregular waves with significant heights from 2 m to 4 m and peak periods from 6 s to 12 s at a depth of 15 m, all prototype dimensions. Three probes were placed between the wave paddle and the ship to record incident and reflected waves and four probes were placed between the ship and the coastline to measure the transmitted waves. Transmission, reflection and dissipation coefficients (Ct, Cr, Cd) were calculated to determine wave attenuation. Results show good shelter in the lee of the ship with values of Ct under 0.5 for peak periods from 6 s to 11 s. In addition, forces on the mooring chains were measured showing maximum values of about 2000 tons at a 10 speak period. Finally, two analytical models were used to determine the shoreline’s response to the ship’s protection and to assess the possible forming of salients or tombolos. According to the results, salients - but not tombolos - are formed in all tests.
Resumo:
Between 2003 and 2007 an urban network or road tunnels with a total constructed tubes length of 45 km was built in the city of Madrid. This amazing engineering work, known as "Calle 30 Project" counted with different kinds of tunnel typologies and ventilation systems. Due to the length of the tunnels and the impact of the work itself, the tunnels were endowed with a great variety of installations to provide the maximum levels of safety both for users and the infrastructure includieng, in some parts of the tunnel, fixed fire fighting system based on water mist. Whithin this framework a large-scale programme of fire tests was planned to study different aspects related to fire safety in the tunnels including the phenomena of the interaction between ventilation and extinguishing system. In addition, these large scale fire tests allowed fire brigades of the city of Madrid an opportunity to define operational procedures for specific fire fighting in tunnels and evaluate the possibilities of fixed fire fighting systems. The tests were carried out in the Center of Experimentation "San pedro of Anes" which includes a 600 m tunnel with a removable false ceiling for reproducing different ceiling heights and ventilation conditions (transverse and longitudinal ones). Interesting conclusions on the interaction of ventilation and water mist systems were obtained but also on other aspects including performance of water mist system in terms of reduction of gas temperatures or visibility conditions. This paper presents a description of the test's programme carried out and some previous results obtained.