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  • About
  • The Global ETD Search service is a free service for researchers to find electronic theses and dissertations. This service is provided by the Networked Digital Library of Theses and Dissertations.
    Our metadata is collected from universities around the world. If you manage a university/consortium/country archive and want to be added, details can be found on the NDLTD website.
131

Localização de faltas incipientes em sistemas de distribuição de energia elétrica com cabos subterrâneos

Herrera-Orozco, Andrés Ricardo January 2017 (has links)
Nos sistemas de distribuição de alta e média tensão tem-se aumentado a utilização de linhas de distribuição de energia subterrâneas ou cabos subterrâneos. A ocorrência de faltas nas linhas afeta negativamente a qualidade da energia e o correto funcionamento da rede. O processo que leva a uma falta nos cabos é gradual e está caracterizado por uma série de subciclos de faltas incipientes associadas a uma tensão de arco. Estas, muitas vezes, passam despercebidas e, eventualmente, resultam em uma falta permanente. Os métodos clássicos de localização de faltas como as metodologias baseadas no cálculo da impedância aparente, as baseadas na inteligência artificial e as baseadas nas ondas viajantes são, habitualmente, aplicadas ao sistema depois de uma falta permanente acontecer e precisam de um ou mais ciclos do sinal para entregar uma resposta razoável. No entanto, as faltas nos cabos são um processo gradual, de curta duração (entre ¼ e ½ ciclo do sinal) e seria desejável localizar a falta incipiente antes de tornar-se permanente. Nesse contexto, esta pesquisa aborda o problema de localização de faltas incipientes. Assim, nesta tese propõe-se uma nova técnica de localização de faltas incipientes usando medições em um terminal, no domínio do tempo e que utiliza componentes de fase. Desta forma, são desenvolvidas duas novas formulações do modelo elétrico do sistema de distribuição com cabos subterrâneos durante uma falta incipiente. A abordagem proposta considera simultaneamente na sua formulação características da falta incipiente e dos sistemas de distribuição de energia, como a tensão de arco, o modelo Π nominal de parâmetros concentrados do cabo subterrâneo, o desequilíbrio do sistema e a condição da carga. A estimativa da distância da falta, junto com os parâmetros da falta incipiente, é obtida a partir da solução de um sistema sobredeterminado de equações lineares pela aplicação do método de mínimos quadrados ponderados não negativos. As formulações propostas permitem estimar a distância da falta em termos da reatância da linha até a falta. Além disso, é proposto um processo de compensação de corrente para estimar a corrente de falta; é aplicado um pré-processamento dos dados de entrada para suavizar o efeito do ruído que pode conter o sinal e, é aplicado um pós-processamento dos resultados para refinar e entregar a melhor estimativa obtida durante o processo de localização da falta. O desempenho da técnica proposta é avaliado mediante estudos de casos simulados em um circuito real de distribuição no Alternative Transients Program (ATP/EMTP) considerando análises de sensibilidade e comparativa. Também, o modelo da falta incipiente foi programado utilizando a ferramenta de MODELS do ATP/EMTP. Os resultados obtidos, considerando faltas incipientes simuladas que avaliam a influência da variação da magnitude de tensão de arco, do ruído aleatório inserido na tensão de arco, da distância da falta, da taxa de amostragem, do carregamento do sistema, do modelo de tensão de arco e de incertezas nas medições, indicam claramente que a abordagem proposta possui validade como técnica de localização de faltas incipientes, apresentando erros médios globais de 1,60% e 0,93%, respectivamente para cada formulação proposta. / The use of underground power distribution lines or underground cables in the high and medium voltage distribution systems has increased dramatically in recent years. The fault occurrence in the distribution lines negatively affects the power quality and the correct network operation. The process which leads to a fault in underground cables is gradual and is characterized by a series of sub-cycles of incipient faults associated with an arc voltage. These often are unnoticed and, eventually, results in a permanent fault. Classical fault localization methods such as the based-impedance, the based on artificial intelligent and the based on traveling waves are, usually, applied to the system after a permanent fault occurrence and need one or more signal cycles for providing a reasonable response. However, the faults in cables are a gradual process, with short duration (between ¼ to ½ of signal cycle) and would be desirable to locate the fault before this becomes a permanent fault. In this context, this research approaches the incipient faults location problem. Thus, in this thesis is proposed a new incipient fault location technique using single-end terminal measurement, in time-domain and employing phase components. In this way, two new formulations of the electrical model of the distribution system with underground cables during an incipient fault are developed. The proposed approach considers simultaneously in its formulation, incipient fault type and power distribution systems characteristics as arc voltage, unbalanced operation, load conditions and complete line model. The fault distance estimation, together with the incipient fault parameters, it is obtained from the solution of an overdetermined linear system of equations by the application of the non-negative weighted least squares estimator method. The proposed formulations allow estimating the fault distance in terms of the line reactance up to the fault. In addition, a load current compensation strategy is proposed to reduce its effect in the fault current estimation; an input data pre-processing is applied to smooth out the noise effect and a post-processing of the results is performed for estimation refinement and to provide the best estimate obtained during the fault location process. The proposed technique performance is evaluated through simulated cases studies in a real-life distribution network with underground cable data in the Alternative Transients Program (ATP/EMTP) considering sensitivity and comparative analyzes. Also, the fault model was programmed using the MODELS tool of ATP/EMTP. The obtained results, considering simulated incipient faults, which evaluate the influence of variations in the arc voltage magnitude, random noise percentage inserted in the arc voltage, fault distance, sampling rate, load dynamics, the arc voltage model and uncertainties in measurements, indicate clearly that the proposed approach is valid as incipient faults location technique, showing overall average errors of 1,60% and 0,93%, respectively for each proposed formulation.
132

Ecrits de droit financier : de certaines insuffisances de la régulation financière / Writings of financial law : some insufficiencies of financial regulation

Boucheta, Haroun 28 June 2017 (has links)
Les écrits de Monsieur Haroun BOUCHETA, rassemblés en vue de l’obtention du titre de Docteur en droit, portent sur le droit financier. Depuis 2005, en prenant appui sur ses expériences professionnelles, l’auteur publie régulièrement des articles à destination tant des praticiens que des universitaires. Les écrits rassemblés sont de deux ordres. Premièrement, l’auteur s’intéresse à l’encadrement juridique de certains acteurs des marchés financiers ainsi qu’à celui d’instruments financiers et techniques financières.Parmi les acteurs étudiés, les contreparties centrales tiennent une place importante. Les études de l’auteur portant sur ce thème permettent d’appréhender l’environnement juridique et réglementaire spécifique et de comprendre ses récentes évolutions aux niveaux européen et français. Quant aux instruments financiers et techniques financières ayant fait l’objet de publications, l’auteur s’est essentiellement concentré sur les dérivés et les matières premières. Deuxièmement, d’autres écrits sont plus transversaux, voire prospectifs, puisqu’ils ont trait à des réformes européennes incontournables en matière de réglementation financière. A côté du règlement EMIR, l’auteur a consacré plusieurs études approfondies sur la réforme de la directive concernant les marchés d’instruments financiers (MIF). Ces écrits de droit financier sont accompagnés d’une introduction générale. La première partie s’appuie sur quinze articles publiés et a vocation à mettre en exergue certaines des lacunes de la régulation financière post-crise. Dans la seconde partie, l’auteur s’interroge sur la physionomie actuelle des sources du droit financier et sur le processus d’élaboration des textes. / The writings of Mr. Haroun BOUCHETA, gathered for the title of Doctor of Laws, deal with financial law. Since 2005, drawing on his professional experience, the author regularly publishes articles for both practitioners and academics. The collected writings are of two kinds.First, the author is interested in the legal framework of certain players in the financial markets as well as those of financial instruments and financial techniques.Among the actors studied, central counterparties play an important role. The author's studies on this subject make it possible to understand the specific legal and regulatory environment and to understand its recent developments at European and French levels.As for financial instruments and financial techniques that have been the subject of publications, the author concentrated mainly on derivatives and commodities.Secondly, other writings are more cross-cutting and even forward-looking, as they relate to unavoidable European reforms in financial regulation. In addition to the EMIR regulation, the author devoted several in-depth studies on the reform of the Markets in Financial Instruments Directive (MiFID).These writings of financial law are accompanied by a general introduction. The first part is based on fifteen published articles from the author and is intended to highlight some of the shortcomings of post-crisis financial regulation. In the second part, the author examines the current physiognomy of the sources of financial law and the process of drafting the texts.
133

Blockkedjeteknologin på finansiella marknader : Kan blockkedjeteknologin effektivisera handeln med finansiella instrument? / Blockchain technology in the financial markets : Can blockchain technology provide for more efficient trading in securities?

Cerneckis, Gvidas January 2018 (has links)
Handeln med finansiella instrument har effektiviserats avsevärt under de senaste decennierna tack vare den tekniska utvecklingen och internationaliseringen. Pappersbaserade värdepapper har ersatts av digitala finansiella instrument och investerare kan numera på ett enkelt sätt skapa värdepappersportföljer innehållande komplexa värdepapper från hela världen. En välfungerande och effektiv handel med finansiella instrument förutsätter att förtroendet existerar mellan aktörer på finansiella marknader. Idag säkerställs förtroendet inom finansiella marknader av ett antal olika finansiella intermediärer, vilka ansvarar för olika funktioner såsom clearing, avveckling och kontoföring. Transaktionskedjan avseende finansiella instrument består därmed av flera nivåer och varje enskild transaktion måste genomgå samtliga nivåer. Den finansiella handeln har ökat betydligt i omfattningen och ett betydande antal transaktioner är numera gränsöverskridande. Detta har resulterat i ett tämligen komplext, sammanlänkat och sårbart system, vilket bland annat har synliggjorts under den senaste finanskrisen år 2008.     Blockkedjeteknologi, vilken är en typ av Distributed Ledger Technology, kan något förenklat ses som en databas eller ett transaktionsregister. Till skillnad från traditionella transaktionsregister, vilka i regel är centraliserade och förvaltas av olika intermediärer, bygger den nya teknologin på ett decentraliserat nätverk av aktörer utan att någon tredje part är ansvarig för verifiering av transaktioner. Blockkedjeteknologin introducerar därmed ett nytt sätt att genomföra transaktioner med digitala tillgångar, genom att förtroendet säkerställs med hjälp av kryptografiska lösningar och ett decentraliserat nätverk. Blockkedjeteknologin anses av många ha en betydande potential att effektivisera transaktionskedjan avseende finansiella instrument genom att exempelvis automatisera förandet av transaktionsregister samt integrera de olika nivåerna inom transaktionskedjan. Tekniken är dock fortfarande i en utvecklingsfas och många olika utmaningar återstår innan tekniken kan komma till användning. I Sverige präglas transaktionskedjan avseende finansiella instrument dessutom av strikta regleringar, varför frågan uppstår om huruvida lösningar baserade på blockkedjetekniken är förenliga med dagens rättsliga ramar.   I denna uppsats diskuteras huruvida och på vilket sätt blockkedjeteknologin skulle kunna effektivisera vissa funktioner inom transaktionskedjan avseende finansiella instrument samt vilka rättsliga frågeställningar som uppstår i samband med tillämpning av den nya tekniken utifrån dagens rättsläge i Sverige.
134

Philosophical-Methodological Problems of Economics: Project of Economic Phenomenology / Filosoficko-metodologické problémy ekonomie: projekt ekonomické fenomenologie

Svoboda, Miroslav January 2013 (has links)
In recent years, the economic approach to human behavior has been challenged by contributions of cognitive science. Thus two methodological strands in economics disagree with each other: the objectivistic approach favors the methods of natural science; the subjectivistic approach takes the teleological structure of human action as its cornerstone. It is argued that the position of the latter has been undermined and often degraded to a mere instrumentalist tool because it builds upon the primitive version of the teleological structure. Its deeper realist analysis is needed, which is the task for economic phenomenology: it identifies invariant pragmatic structures of human action, with various degrees of their anonymity. If the economic approach is founded on those structures adequately, then both rational choice theory and bounded rationality theories become compatible, as they differ in their degrees of anonymity only; they both belong to the body of the (subjectivistic) economic approach to human behavior. Economic phenomenology also offers a solution to the phenomenon of inconsistency of human action which is documented by cognitive sciences as a proof of human irrationality. The thesis shows that once the decision maker's description of the choice is allowed, inconsistency may disappear. Consistency is a matter of thinking, not acting. Therefore, a conceptual analysis of human thinking is needed. An example of the analysis is presented. It concentrates on the phenomenon of Self and works up the concept of the horizontality of Self. With this concept, inconsistency of human action is derived as a natural characteristic of our being-in-the-world. Inconsistency of human action is a pragmatic structure of human action, which even allows the decision maker some intentional control.
135

The Calibrated SSVI Method - Implied Volatility Surface Construction / Kalibrerade SSVI metoden - Konstruktion av Implicita Volatilitetsytor

Öhman, Adam January 2019 (has links)
In this thesis will the question of how to construct implied volatility surfaces in a robust and arbitrage free way be investigated. To be able to know if the solutions are arbitrage free was an initial investigation about arbitrage in volatility surfaces made. From this investigation where two comprehensive theorems found. These theorems came from Roper in \cite{Roper2010}. Based on these where then two applicable arbitrage tests created. These tests came to be very important tools in the remaining thesis.The most reasonable classes of models for modeling the implied volatility surface where then investigated. It was concluded that the classes that seemed to have the best potential where the stochastic volatility models and the parametric representation models. The choice between these two classes where concluded to be based on a trade-off between simplicity and quality of the result. If it where possible to make the parametric representation models improve its result the best applicable choice would be that class. For the remaining thesis was it therefore decided to investigate this class. The parametric representation model that was chosen to be investigated where the SVI parametrization family since it seemed to have the most potential outside of its already strong foundation.The SVI parametrization family is diveded into 3 parametrizations, the raw SVI parametrization, the SSVI parametrization and the eSSVI parametrization. It was concluded that the raw SVI parametrization even though it gives very good market fits, was not robust enough to be chosen. This ment that the raw SVI parametrization would in most cases generate arbitrage in its surfaces. The SSVI model was concluded to be a very strong model compared to the raw SVI, since it was able to generate completely arbitrage free solutions with good enough results. The eSSVI is an extended parametrization of the SSVI with purpose to improve its short maturity results. It was concluded to give small improvements but with the trade of making the optimization procedure harder. It was therefore concluded that the SSVI parametrization might be the better application.To try to improve the results of the SSVI parametrization was a complementary procedure developed which got named the calibrated SSVI method. This method compared to the eSSVI parametrization would not change the parametrization but instead focusing on calibrating the initial fit that the SSVI generated. This method would heavily improve the initial fit of the SSVI surface but was less robust since it generated harder cases for the interpolation and extrapolation. / I det här examensarbetet undersöks frågan om hur man bör modellera implied volatilitetsytor på ett robust och arbitragefritt sätt. För att kunna veta om lösningarna är arbigtragefria börjades arbetet med en undersökning inom arbitrageområdet. De mest heltäckande resultatet som hittades var två theorem av Roper i \cite{Roper2010}. Baserat på dessa theorem kunde två applicerbara arbitragetester skapas som sedan kom att bli en av hörnstenarna i detta arbete. Genom att undersöka de modellklasser som verkade vara de bästa inom området valdes den parametriseringsbeskrivande modellklassen.  I denna klass valdes sedan SVI parametriseringsfamiljen för vidare undersökning eftersom det verkade vara den familj av modeller som hade störst potential att uppnå jämnvikt mellan enkel applikation samt bra resultat.  För den klassiska SVI modellen i SVI familjen drogs slutsatsen att modellen inte var tillräcklig för att kunna rekommenderas. Detta berodde på att SVI modellen i princip alltid genererade lösningar med arbitrage i. SVI modellen genererar dock väldigt bra lösningar mot marknadsdatan enskilt och kan därför vara ett bra alternativ om man bara ska modellera ett implied volatilitetssmil. SSVI modellen ansågs däremot vara ett väldigt bra alternativ. SSVI modellen genererar komplett aribragefria lösningar men har samtidigt rimligt bra marknadspassning.  För att försöka förbättra resultaten från SSVI modellen, var en kompleterande metod kallad den kalibrerade SSVI metoden skapad. Denna metod kom att förbättra marknadspassningen som SSVI modellen genererade men som resultat kom robustheten att sjunka, då interpoleringen och extrapoleringen blev svårare att genomföra arbitragefritt.
136

Functioning of Mediterranean ecosystems in response to forest fires and post-fire management activities

Moghli, Aymen 15 July 2022 (has links)
In Valencia region (SE Spain), many post-fire communities are dominated by non-resprouting (seeder) species, because of the long history of land exploitation and subsequent abandonment during the last half of 20th century. These communities accumulate fine dry biomass and, therefore, can burn again easily. In fact, Mediterranean forests are suffering from an increase in wildfire frequency since the early 1970s. Wildfires shape the composition and functioning of Mediterranean ecosystems, but we do not know how these ecosystems respond to both the higher fire recurrence and shorter recovery times expected for future climatic scenarios. In this sense, Aleppo pine forest (Pinus halepensis) is one of the most fire affected vegetation of this type in the Mediterranean Basin and to know how it respond to fire is fundamental to design management plans. After fire, regeneration of this forest can be highly variable, and it can go from extremely dense tree stands (overstocked pine) to treeless shrublands dominated by seeder species. All these regenerated stands are fire prone with limited ability to deliver multiple ecosystem services. Although several management techniques are applied to redirect these post-fire ecosystems towards less vulnerable and more functional communities, we do not know yet which amongst them could serve to foster more diverse and multifunctional landscapes. Therefore, the general objective of this thesis is to investigate the functioning of these Mediterranean ecosystems as consequence of shifts in fire regime and forest management application, using different techniques, in different post-fire regenerated ecosystems (overstocked pine forests and dense shrublands). To do so, we calculate, within Mediterranean Pinus halepensis forests affected by wildfires, the supply of multiple ecosystem services (biodiversity conservation, carbon sequestration, disturbance regulation, food production, supporting services, and multifunctionality), through up to 25 aboveground and belowground attributes. Our main findings are (1) High fire recurrence and time since last fire interacted to determine ecosystem services but did not affect their synergies and trade-offs between them. Their combined effects reduced carbon sequestration and multifunctionality. Disturbance regulation diminished drastically with the first fire, with no effect of further fires. However, their effects dampened, and even became positive, for biodiversity conservation and food production services if provided enough time to recover. (2) Thinning in overstocked pine stands enhances ecosystem attributes associated with biodiversity conservation without compromising the provision of carbon sequestration. After 10 years, two levels of thinning, (600 and 1200 trees·ha-1), similarly affected ecosystem attributes, which suggest that 1200 trees·ha-1 suffice to enhance individual ecosystem attributes. (3) Clearing within dense shrubland dominated by seeder species enhances ecosystem attributes associated with biodiversity conservation without compromising the capacity of ecosystem to sequester carbon. (4) Plantation of resprouting species combined with thinning and clearing, in overstocked pine forests and dense shrublands respectively, can enhance the provision of ecosystem services of disturbance regulation, food production and ecosystem multifunctionality. (5) Prescribed burning reduces the amount of dead fuel, increases biodiversity conservation, and improves food production. However, these effects become negative, in addition to the decline in disturbance regulation and multifunctionality, if prescribed burning is applied frequently. (6) Combining different management activities can enhance the supply of multiple ecosystem services simultaneously by reducing the trade-offs in between them and therefore, establish multifunctional Mediterranean landscapes.
137

Automated Estimation of Forest Row Spacing and Detection of Clearances: An Experimental Study

Mohammad, Waled Khalid January 2024 (has links)
Background: This research explores the integration of satellite imagery and imageprocessing techniques to innovate forest monitoring methods. Traditional approachesoften fall short in scale and efficiency, necessitating enhanced techniques for accurateforest structure analysis. Objectives: The main goal is to develop a software prototype capable of automat-ing the measurement of tree row spacing and detecting clearing areas within forests,thereby facilitating more informed and efficient forest management and conservationefforts. Methods: The study employed computer vision techniques and image processingalgorithms using OpenCV to process high-resolution satellite images. The develop-ment and testing of the prototype involved iterative enhancements to refine accuracyand functionality. Results: The findings demonstrate that the prototype successfully identifies andmeasures forest structural features with high accuracy, confirming the effectivenessof integrating computational techniques with ecological monitoring practices. Conclusions: The successful application of satellite imagery and image processingsignificantly enhances forest monitoring capabilities, promoting sustainable forestmanagement. This research underscores the potential of technology to transformenvironmental conservation efforts by providing detailed, reliable data that supportsproactive management strategies. / Bakgrund: Denna forskning utforskar integrationen av satellitbilder och avanceradebildbehandlingstekniker för att innovera metoder för skogsövervakning. Traditionellatillvägagångssätt är ofta bristfälliga i skala och effektivitet, vilket kräver förbättradetekniker för noggrann analys av skogsstrukturer. Syften: Huvudmålet är att utveckla en programvaruprototyp som kan automatiseramätningen av trädradsavstånd och upptäcka kalhyggen inom skogar, vilket underlät-tar mer informerad och effektiv skogsförvaltning och bevarandeinsatser.Metoder: Studien använde datorsynstekniker och bildbehandlingsalgoritmer medOpenCV för att bearbeta högupplösta satellitbilder. Utvecklingen och testningen avprototypen involverade iterativa förbättringar för att förfina noggrannhet och funktionalitet. Resultat: Resultaten visar att prototypen framgångsrikt identifierar och mäterskogsstrukturella egenskaper med hög noggrannhet, vilket bekräftar effektivitetenav att integrera avancerade datatekniker med ekologiska övervakningsmetoder. Slutsatser: Den framgångsrika tillämpningen av satellitbilder och bildbehandlingförbättrar avsevärt möjligheterna till skogsövervakning och främjar hållbar skogsför-valtning. Denna forskning understryker teknikens potential att transformera miljöbe-varande insatser genom att tillhandahålla detaljerade, tillförlitliga data som stöderproaktiva förvaltningsstrategie
138

Impact of Prosopis (mesquite) invasion and clearing on ecosystem structure, function and agricultural productivity in semi-arid Nama Karoo rangeland, South Africa

Ndhlovu, Thabisisani 03 1900 (has links)
Thesis (MScConEcol (Conservation Ecology and Entomology))--University of Stellenbosch, 2011. / ENGLISH ABSTRACT: I evaluated the impact of Prosopis invasion and clearing on ecological structure, function and agricultural productivity in heavily grazed Nama Karoo rangeland on two sheep farms near the town of Beaufort West in the Western Cape Province of South Africa. My aims were to (1) determine the effects of invasion and clearing on rangeland vegetation composition, diversity (alien and indigenous species richness) and structure (alien and indigenous species cover), soil vegetation cover (plant canopy and basal cover) and agricultural productivity (grazing capacity), (2) describe the vegetation processes that underlay the invasion and clearing impacts and (3) evaluate the success of clearing in facilitating unaided restoration of ecological structure, function and agricultural productivity in formerly invaded rangeland. I hypothesised that invasion would significantly change rangeland vegetation composition and structure, leading to greater alien species richness and cover and lower indigenous species richness and cover while clearing would lead to lower alien species diversity and cover and greater indigenous species richness and cover. In addition I hypothesized that invasion would reduce rangeland plant canopy and basal cover and grazing capacity while clearing would substantially increase them. Finally I predicted that vegetation composition, alien and indigenous species cover and richness, plant canopy and basal cover and grazing capacity would revert to pre-invasion status and levels within four to six years of clearing. My results suggest that in heavily grazed Nama Karoo rangeland Prosopis invasion (~15 percent canopy cover) and clearing can significantly change rangeland vegetation composition, with invasion leading to greater alien species cover and lower indigenous species richness, while clearing leads to lower alien species richness and cover and greater indigenous species richness and cover. However invasion seems to have no effect on alien species richness and overall indigenous species cover. Clearing appears to facilitate the spontaneous restoration of alien species cover and indigenous species richness within four to six years but not species composition, alien species richness and indigenous species cover. In addition my results also indicate that Prosopis invasion can lower rangeland plant canopy and basal cover and grazing capacity while clearing, even under heavy grazing, can substantially raise them. Clearing however does not seem to facilitate the restoration of rangeland plant canopy and basal cover and grazing capacity to pre-invasion levels within four to six years after clearing. / AFRIKAANSE OPSOMMING: Ek het die impak van Prosopis indringing en verwydering van indringers op ekologiese struktuur, funksie en landbou produktiwiteit in ‘n swaar beweide Nama Karoo gebied op twee skaapplase naby Beaufort-Wes in die Wes-Kaap provinsie van Suid-Afrika geëvalueer. My doelwitte was om (1) te bepaal wat die gevolge van die indringing en verwydering van indringers op die natuurlike plantegroei samestelling, diversiteit (uitheemse en inheemse spesiesrykheid) en struktuur (uitheemse en inheemse spesies bedekking) sal wees, sowel as die effek op plantegroei bedekking (kroon en basalebedekking) en landbou produktiwiteit (weidingkapasiteit), (2) die plantegroei prosesse te beskryf wat onderliggend deur die impakte van indringing en verwydering van indringers veroorsaak word, en (3) die sukses van die verwydering van indringers te evalueer deur die fasilitering van blote restorasie van ekologiese struktuur en funksie en landbou produktiwiteit in voorheen ingedringde gebiede. My hipotese is dat indringing ‘n aansienlike verandering in natuurlike plantegroeisamestelling en struktuur sal veroorsaak, wat sal lei tot groter uitheemse spesiesrykheid en bedekking met minder inheemse spesiesrykheid en bedekking, terwyl die verwydering van indringers sou lei tot minder uitheemse spesie diversiteit en bedekking met 'n groter inheemse spesiesrykheid en bedekking. Verder vermoed ek dat indringing die natuurlike kroon- en basalebedekking en weidingkapasiteit sal verminder, terwyl die verwydering van indringers dit aansienlik sal verhoog. Ten slotte voorspel ek dat plantegroei samestelling, uitheemse en inheemse spesiesbedekking en -rykheid, kroon- en basalebedekking en weidingkapasiteit sou terugkeer na voor-indringing status en vlakke binne vier tot ses jaar na die verwydering van indringers. My resultate daarop dat die indringing van Prosopis (~ 15 persent kroonbedekking) en die verwydering van indringers in swaar beweide Nama Karoo gebiede ‘n aansienlike verandering in die gebied se natuurlike plantegroei samestelling toon, waar indringing gelei het tot groter uitheemse spesiesbedekking en minder inheemse spesiesrykheid, terwyl die verwydering van indringers lei tot minder uitheemse spesiesrykheid en groter inheemse spesiesrykheid en - bedekking. Dit lyk egter of indringing geen effek op uitheemse spesiesrykheid en algehele inheemse spesiesbedekking het nie. Die verwydering van indringers blyk om die spontane herstel van indringerbedekking en inheemse spesiesrykheid binne vier tot ses jaar te fasiliteer, maar nie spesiesamestelling, uitheemse spesiesrykheid of inheemse spesiesbedekking nie. Benewens dui my resultate ook aan dat Prosopis indringing die natuurlike kroon- en basalebedekking sowel as weidingskapasiteit verlaag, terwyl die verwydering van indringers, selfs onder swaar beweiding, die bedekking aansienlik kan verhoog. Verwydering van indringers lyk egter nie asof dit die herstel van die gebied se natuurlike kroon- en basalebedekking en weidingkapasiteit na voor-indringing vlakke toe kan fasiliteer binne vier tot ses jaar na die verwydering van indringers nie.
139

Increasing wind power penetration and voltage stability limits using energy storage systems

Le, Ha Thu 22 September 2010 (has links)
The research is motivated by the need to address two major challenges in wind power integration: how to mitigate wind power fluctuation and how to ensure stability of the farm and host grid. It is envisaged that wind farm power output fluctuation can be reduced by using a specific type of buffer, such as an energy storage system (ESS), to absorb its negative impact. The proposed solution, therefore, employs ESS to solve the problems. The key research findings include a new technique for calculating the desired power output profile, an ESS charge-discharge scheme, a novel direct-calculation (optimization-based) method for determining ESS optimal rating, and an ESS operation scheme for improving wind farm transient stability. Analysis with 14 wind farms and a compressed-air energy storage system (CAES) shows that the charge-discharge scheme and the desired output calculation technique are appropriate for ESS operation. The optimal ESSs for the 14 wind farms perform four or less switching operations daily (73.2%-85.5% of the 365 days) while regulating the farms output variation. On average, the ESSs carry out 2.5 to 3.1 switching operations per day. By using the direct-calculation method, an optimal ESS rating can be found for any wind farm with a high degree of accuracy. The method has a considerable advantage over traditional differential-based methods because it does not require knowledge of the analytical form of the objective function. For ESSs optimal rating, the improvement in wind energy integration is between 1.7% and 8%. In addition, a net increase in grid steady-state voltage stability of 8.3%-18.3% is achieved by 13 of the 14 evaluated ESSs. For improving wind farm transient stability, the proposed ESS operation scheme is effective. It exploits the use of a synchronous-machine-based ESS as a synchronous condenser to dynamically supply a wind farm with reactive power during faults. Analysis with an ESS and a 60-MW wind farm consisting of stall-regulated wind turbines shows that the ESS increases the farm critical clearing time (CCT) by 1 cycle for worst-case bolted three-phase-to-ground faults. For bolted single-phase-to-ground faults, the CCT is improved by 23.1%-52.2%. / text
140

La réforme Dodd-Frank des produits dérivés de gré à gré : vers un modèle mondial?

Musteanu, Cristiana 08 1900 (has links)
Suite à la crise financière de 2008 les pays du G20 se sont interrogés sur la transparence des marchés, la stabilité du système et une façon de réguler les risques posés par le nouvel environnement économique. Les produits dérivés de gré à gré ont été identifiés et des engagements ont été pris en faveur de nouvelles régulations des dérivés de gré à gré et la gestion des risques sous-jacents. Les régulateurs ont donc adopté chacun à leur tour un cadre législatif régulant les dérivés de gré à gré tout en déployant un effort international d'harmonisation et de reconnaissance des contreparties assujetties à des régimes équivalents. Les autorités canadiennes en valeurs mobilières ont publié des projets de règlements. Nous nous interrogerons sur ce nouveau cadre réglementaire des dérivés de gré à gré élaboré par les autorités canadiennes en valeurs mobilières, prenant en considération les spécificités canadiennes et les acteurs actifs sur leur territoire. Notre étude traite de ces projets de règlements et de la difficulté d'encadrer les marchés des dérivés de gré à gré qui par définition ne comportent pas de plateformes de négociation ou de lieu géographique et de frontières mais se caractérisent surtout par le lien contractuel entre les parties et l'identification de ces parties. L'élaboration d'un nouveau cadre pour les dérivés de gré à gré qui régule les transactions transfrontières semble très délicat à traiter et les possibles conflits et chevauchements de lois seront inévitables. Confrontés à des définitions divergentes de contreparties locales, les parties à une opération seront condamnées à un risque de qualification en vertu des règlements nationaux sur les dérivés de gré à gré. Une concertation pourrait être renforcée et la détermination de l'autorité compétente ainsi que les concepts de contreparties locales, succursales ou filiales pourraient être harmonisés. / Having in mind the 2008 financial crisis the G20 countries have questioned the transparency of the markets, the stability of the system and explored new solutions in order to control the risks triggered by a new economic environment. OTC derivatives have been identified and commitments were made in favor of new regulations of OTC derivatives and the management of the underlying risks. Regulators have therefore adopted in turn a legislative framework regulating OTC derivatives while deploying an incentive for international harmonization and recognition of counterparties subject to equivalent schemes. Canadian Securities Administrators have issued proposed regulations. We wonder how the Canadian Securities Administrators have developed this new regulatory framework for OTC derivatives, taking into consideration the Canadian specificities and the local activities of the Canadian actors? Our study addresses these draft regulations and the difficulty to supervise OTC derivatives which in the past, were not traded via platforms, recorded or related to a geographic location but mainly characterized by the contractual relationship between the parties. The development of a new framework for OTC derivatives which will regulate cross-border transactions seem very difficult to deal with and possible conflicts and overlapping laws are inevitable. Faced with different definitions of local counterparts, the parties to a transaction will be condemned to a risk of qualification under national regulations of OTC derivatives. A dialogue shall therefore be strengthened and the determination of the competent authority and clarification of the local counterparts concepts, branches or subsidiaries shall be harmonized.

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