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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.
1

Environmental quality in residential areas : a social survey approach to improvement priorities

Cane, Simon January 1977 (has links)
The research is concerned with the measurement of residents' evaluations of the environmental quality of residential areas. The research reflects the increased attention being given to residents' values in planning decisions affecting the residential environment. The work was undertaken in co-operation with a local authority which was in the process of revising its housing strategy, and in particular the priorities for improvement action. The study critically examines the existing evidence on environmental values and their relationship to the environment and points to a number of methodological and conceptual deficiencies. The research strategy developed on the basis of the research review was constrained by the need to keep any survey methods simple so that they could easily be repeated, when necessary, by the sponsoring authority. A basic perception model was assumed, and a social survey carried out to measure residents' responses to different environmental conditions. The data was only assumed to have ordinal properties, necessitating the extensive use of non-parametric statistics. Residents' expressions of satisfaction with the component elements of the environment (ranging from convenience to upkeep and privacy) were successfully related to 'objective' measures of the environment. However the survey evidence did not justify the use of the 'objective' variables as environmental standards. A method of using the social survey data directly as an aid to decision-making is discussed. Alternative models of the derivation of overall satisfaction with the environment are tested, and the values implied by the additive model compared with residents' preferences as measured directly in the survey. Residents' overall satisfactions with the residential environment were most closely related to their satisfactions with the "Appearance" and the "Reputation" of their areas. By contrast the most important directly measured preference was "Friendliness of area". The differences point to the need to define concepts used in social research clearly in operational terms, and to take care in the use of values 'measured' by different methods.
2

The evaluation of environmental quality : a method of predicting the environmental effects of urban traffic

Hodgins, Henry January 1976 (has links)
The work is concerned with the measurement and prediction of the environmental effects of traffic in urban situations, with a view to contributing to the development of theory and the provision of techniques in transportation planning which will allow such effects to be taken into account explicitly in the evaluation of transport proposals and projects. Its main emphasis has been on the problems of streets typical of urban areas as opposed to urban motorways on which most research has heretofore concentrated. The study has focused attention on the environmental effects measurable at the kerbside and involved the review and development of traffic and built form related models of traffic noise, pedestrian delay and atmospheric pollution. The issues of vibration, pedestrian risk and visual appearance have also been examined. The work has not only been concerned with 'objective' measures of environmental impact but also with 'subjective response' and the results of testing a series of hypotheses based psychometric approaches to stimulus/response issues are reported. The research methodology for the development of the 'objective' models was based on the regression of observed variables on simultaneously measured independent variables. The 'subjective' aspects of the study were based on a survey of pedestrian response at the kerbside. Two direct methods of measuring pedestrian annoyance were used - cross modality matching and magnitude estimation. The results of the 'objective' model development work produced a, traffic noise model in terms of L10 for non free flow conditions with a standard error of 1.4dB(A) which is approximately half that found in models to date. Extremely good fits for pedestrian delay were found with models based on the adaptation of models for 'free flow' conditions. Less progress has been made in the prediction of pedestrian response. While, in some cases, very highly significant correlations were observed, the wide range of responses relative to the range of the traffic variables on the road network made it impossible to define the correct form of the relationship between the responses and the traffic. However, in the cases where the relationships were highly significant, a log/log relationship was the closest
3

Framing privacy : architectural representation in digital spaces

Koslowski, Benjamin January 2018 (has links)
Individual privacy can be compromised in digitally mediated spaces, as networked communication has made scales of interaction and degrees of visibility difficult to grasp. This inquiry argues that privacy is a spatially-conditioned mental construct and tests architectural representation as a means of orienting the individual online through spatial design practice on three scales, from the miniature to the room and the neighbourhood. Framed by the methodology of architectural representation, privacy online offers the narrative hook and driver for research. This identifies principles underlying architectural practice that can contribute to understandings of digital spaces of interaction, such as online social networking platforms, from the point-of-view of a designer-researcher. The research has been developed under the umbrella of the Creative Exchange, a national AHRC-funded knowledge exchange hub enabling interdisciplinary and inter-organisational collaboration between academia and industry. Asking how different scales of architectural representation can help to orient the individual in digital spaces, ‘methods of spatialisation’ aim to render tangible and experiential a range of observations of the digital; they result in miniature artifacts, immersive installations and interactive hybrid digital-physical platforms. Through methods of inquiry, including Donald Schön’s methods of reflective practice and the ‘design situation’, these operate as a lens on to the digital. Instead of aiming to reconceptualise privacy itself, it is considered as symptomatic of the challenges brought about by digital spaces, and informs means of evaluation. The original contribution the research makes to knowledge in the field of design research at the intersection of architecture and communication design lies in adapting architectural representation for digital contexts: it develops approaches rooted in architecture and aims to frame them for interdisciplinary design contexts engaging with digital spaces. The resulting framework brings together the key foundational architectural parameters of scale, distance and time, and three design methods of spatialisation: miniaturisation, immersion and mapping. These help to reframe challenges of digital communication – such as privacy online – from the perspective of the designer-researcher. Through the practice-led inquiry, digital settings that are not easily grasped intuitively are framed as new contexts for architectural expertise, helping to establish the efficacy of architectural representation in addressing challenges of the digital through reflective design processes.
4

'McGeneration'? : an examination of the continuing importance of place in cultural regeneration

Brown, Amanda January 2012 (has links)
The regeneration of urban places is a major force in the landscape of previously declining industrial cities. The processes and policies of regeneration have received considerable research over the years, with a particular emphasis on quantitative indicators to capture large-scale effects. One major change has been the rising role of culture within regeneration. In this thesis, a closer, qualitative view is taken to investigating urban regeneration, to uncover a narrative of two particular and related concerns within cultural urban regeneration. On the one hand, the risks of homogenisation as standardised practices are transferred globally; on the other, the demand for distinctiveness, and for regenerated areas to demonstrate unique and appealing characteristics to mediate global processes, and attract inward investment of economic, social, and human capital. The thesis focuses on the iconic space of the waterfront, and studies three major regenerating cities in the United Kingdom, studying the dynamics of culture, homogenisation, and distinctiveness. From an initial synthesis of theories, a thematic framework is constructed. The thesis then captures the understanding of those themes as articulated by forty-seven elite actors who work within cultural regeneration in the three case study waterfronts, exposing the continuing impact of place in the face of homogenising forces.
5

Optimising thermal energy recovery, utilisation and management in the process industries

Aneke, Mathew January 2012 (has links)
The persistent increase in the price of energy, the clamour to preserve our environment from the harmful effects of the anthropogenic release of greenhouse gases from the combustion of fossil fuels and the need to conserve these rapidly depleting fuels has resulted in the need for the deployment of industry best practices in energy conservation through energy efficiency improvement processes like the waste heat recovery technique. In 2006, it was estimated that approximately 20.66% of energy in the UK is consumed by industry as end-user, with the process industries (chemical industries, metal and steel industries, food and drink industries) consuming about 407 TWh, 2010 value stands at 320.28 TWh (approximately 18.35%). Due to the high number of food and drink industries in the UK, these are estimated to consume about 36% of this energy with a waste heat recovery potential of 2.8 TWh. This work presents the importance of waste heat recovery in the process industries in general, and in the UK food industry in particular, with emphasis on the fryer section of the crisps manufacturing process, which has been identified as one of the energy-intensive food industries with high waste heat recovery potential. The work proposes the use of a dual heat source ORC system for the recovery and conversion of the waste heat from the fryer section of a crisps manufacturing plant to electricity. The result, obtained through modelling and simulation, shows that the proposed technology can produce about 92% of the daily peak electricity need of the plant which is currently 216 kW. Also, the economic analysis shows that the proposed technology is viable (even at an inflation rate of 5.03% and discounted rate of 6%), with a payback period of approximately three years and net present value of over £2.2 million if the prices of electricity and carbon is at an average value of £0.16 and £13.77 respectively throughout the 30 years service life of the plant. The life cycle assessment study shows that the proposed technology can reduce the CO2 emission by 139,580 kg/year if the electricity produced is used to displace that which would have been produced from a conventional coal-fired power plant.
6

Innovation diffusion within the UK construction sector : a study of the adoption of 4D BIM

Gledson, Barry January 2017 (has links)
The construction industry suffers from a time predictability problem. To address this, previous research has investigated various improvement strategies, including the exploitation of innovations. An innovation is some ‘thing’, unfamiliar to an entity, which can facilitate product, process or systemic improvements. Innovation diffusion theory (IDT) is the body of work concerned with explaining how some innovations successfully ‘stick’, whilst others fail to propagate. These phenomena occur across society, but construction is particularly perceived to suffer from a low ‘innovation rate’. 4D BIM is an innovation with potential to provide construction planning improvements that can address the time predictability problem, but there are concerns around its prospective industry absorption. This research investigates the applicability of classic IDT to the adoption of 4D BIM by the UK construction industry. A mixed-method study was undertaken, informed by a pragmatist philosophy. It combines an initial exploratory stage that uses case study and questionnaire survey research, with a subsequent explanatory stage concurrently employing a second questionnaire survey with semi-structured interviews. Classified as a modular technical process-based innovation, use of 4D BIM is found to advance construction planning. It increases feedback opportunities, planning efforts, and the quality and validity of the plans produced, whilst also having potential for improving project time performance. It is established that 4D BIM usage is principally limited to work-winning, methods planning, and the visualisation of construction processes, alleviating problems of communication and understanding. The importance of existing diffusion concepts of compatibility and trialability, are reinforced, and several new contributions are made. These include: how organisations using BIM risk employing hybrid project information delivery processes, resulting in duplication of effort and inefficiency; how personal use of 4D BIM is linked to organisational characteristics; and what the usual time lag between first awareness and adoption is. Furthermore, an existing innovation-decision process model is built upon, with additional stages, decisionaction points and outcomes added. This new model can assist in the future adoption/rejection decisions of such modular technical process-based innovations.
7

An holistic evaluation of the workplace: understanding the impact of the workplace environment on satisfaction, perceived productivity and stimulation

Thomas, Jennifer Sarah January 2011 (has links)
The central argument in this thesis is that the workplace environment has an impact upon users and that perceptions of the environment are related to overall satisfaction with the workplace, stimulation and perceived productivity. In addition, it is proposed that changing the environment can influence users’ perceptions and stimulation levels. To test this argument a methodology was developed to allow the collection of both objective and subjective data relating to a range of aspects of the workplace environment. A questionnaire was developed to test users’ attitudes towards aspects of the workplace environment including the internal climate, spatial layout, interior design and workplace features. These user perceptions were analysed in relation to corresponding objective measures of these workplace aspects. Data was collected in 16 workplaces and analysed to determine the relationship between user perceptions and objective measurements of the workplace and establish how these were related to overall satisfaction, stimulation and perceived productivity. The results revealed that users were satisfied with the more quantitative aspects of the workplace: internal climate and spatial layout, but were not satisfied with the qualitative aspects of the workplace: decoration, furniture, personal control and choice, window provision and break areas. All aspects of the workplace were significantly correlated with satisfaction with the workplace and stimulation. There was also an effect on perceived productivity. The findings of the workplace evaluations were tested to determine whether changing the environment in the afternoon could affect stimulation. The results revealed some evidence of a positive impact upon stimulation levels through variation of the workplace environment. Implications for the design of future workplaces and further research in light of the findings are discussed.
8

A kinetic and thermodynamic study of the reduction of peroxyacids by iodide and aryl alkyl sulfides in the presence of non-ionic surfactants and α-cyclodextrin

Mousa, Salem Mansour January 2009 (has links)
The objectives of this study were two-fold: firstly to add to existing knowledge about the reaction of peracid with both iodide and sulfides in the presence of micelles (anionic and non-ionic) and α-cyclodextrin. The reaction between iodide and peracid had previously been studied only at 25°C in non-ionic, anionic micellar and alpha cyclodextrin; while the reaction of sulfides and peracid had only been investigated in the presence of α-cyclodextrin at one temperature. This study has investigated the previously undetermined effect of temperature on these reactions and how changes in temperature can affect the process of reactants binding to the micelle or cyclodextrin catalyst. The second objective was to obtain quantitative information about reactivity in ordered aqueous media such as micellar systems and cyclodextrins, and find out how these media can affect and control these reactions. This might have implications for fields such as cell biology, specifically for process occurring in living cells since both cyclodextrins and micelles might be considered simple models for protein and membranes in terms of their hydrophobicity. In addition, little information is known about bimolecular reactions involving two neutral reactants in non-ionic micelles where only the hydrophobic interaction is likely to influence the reaction due to the absence of charge-charge interaction. A kinetic and thermodynamic investigation of the reactions between peracids and different reductants i.e. iodide and series of aryl alkyl sulfides in presence non-ionic micelle and a- cyclodextrin is reported in this work. The kinetics were conducted by monitoring spectrophotometrically the increase or decrease in the absorbance due to formation of triioidide or disappearance of sulfides respectively, and absorbance versus time plots were fitted to nonlinear equation in order to obtain the observed pseudo first order rate constants. For reactions carried out in micellar systems the kinetic data were treated using the multiple micellar pseudophase model developed by Davies which considers the partition of reactants between water in the bulk aqueous phase and that in the micellar pseudophases. Important parameters in this model include the binding constant of reactants to Brij (non-ionic micelle) and kn. (reaction rate in micelle). For reactions in α-cyclodextrin, data was fitted to rate equations containing first and second order dependencies on cyclodextrin using non linear regression techniques. The work was carried out in the presence of 0.003 M nitric acid as reaction medium. The effect of inorganic electrolytes (sodium nitrate, sulfate, actetate, perchlorate and chloride) on the rate of oxidation of iodide in the absence and presence of non-ionic surfactant brij-35 was also studied. The critical micelle concentration (CMC) of the surfactants was determined using kinetic techniques and was found to be inversely proportional to the salt concentration and also to the temperature. The CMC was also found to decrease as the length of the hydrophobic part of the Brij surfactants was increased, possibly due to the decrease of interfacial energy on micellization, which generally increases in with increasing hydrophobic chain length. It was shown from analysis of the kinetic data that all non-ionic micelles in the (absence of salts) and a-CD studied in this work enhanced the rate of the iodide oxidation by MCPBA and that the rate showed saturation type kinetics. Sulfate ions were shown to accelerate the reaction further, whereas perchlorate caused an inhibition of the iodide oxidation (compared to the reaction only in nitric acid) in presence of Brij-35, but an increase in the presence of α-cyclodextrin. For the oxidation of sulfides by MCPBA in micelles and a-CD the observed rate increases to a maximum with increasing micelle or a-CD concentration and then subsequently declines. In the case of sulfide oxidation by the anionic peracid, peroxymonosulfate (PMS), there was only inhibition in the rate, due to separation of reactants. The effect of temperature on both rate and equilibrium processes for these systems was determined over the range 15 to 35°C. The results showed a linear decrease in the binding of metachloroperbenzoic (MCPBA) acid and aryl alkyl sulfides to both micelle and a-CD with increasing the temperature. The thermodynamic and activation parameters for the reactions were determined by using Van't Hoff and Eyring plots. Comparison of the micellar association constants of MCPBA and the apparent micellar association constant of the transition state for the reaction with iodide, suggested that orientational restriction imposed on the peracid by Brij-35 are similar to that in the transition state. For the same reactions carried out in α-cyclodextrin at different temperatures it was determined that the binding constant enthalpy and entropy of substrates, (peracid and iodide) are more negative than that obtained in the presence of brij-35 which indicates that stronger interactions are involved and more restriction imposed on the reactant in presence of a-CD compared to brij-35.A similar approach was employed for the reaction of series of aryl alkyl sulfides with peracids (PMS and MCPBA) in presence of Brij-35 and a-CD. The aryl alkyl sulfides can form both 1:1 and 2:1 host: guest complexes in cyclodextrin; the 2:1 inclusion complexes for some sulfides were larger than the 1:1 complexes, indicating cooperative binding, with the driving force for this possibly being a substrate induced dipole-dipole interaction between the two cyclodextrin molecules. Linear free energy studies indicate that the catalytic species is the bound peracid reacting with the unbound sulfides; sulfide binding results in steric inhibition of the reaction. The reaction of the non-binding PMS with sulfides results only in inhibition as cyclodextrin concentration is increased. The enthalpy and entropy for sulfide oxidation by peracids was calculated by means of a Van't Hoff plot. The reaction in a-CD associated with more negative entropy and enthalpy for the inclusion 2:1 while for 1:1 some substrates associated with positive entropy and small negative enthalpy while other show the usual behaviour observed for complex formation (negative values for both enthalpy and entropy).In all studied reactions (related reactions) there were good relationships between enthalpy and entropy (isokinetic relationships or enthalpy-entropy compensation). Whilst in some cases it is difficult to explain why enthalpy-entropy compensation might be observed, we have suggested that in the case of binding of sulfides to cyclodextrin these plots can act as probes into the orientation of the substrate within the cyclodextrin cavity. The nature of the catalytic mechanism for the reactions of peracids with sulfides and iodide in the presence of micelles and α-cyclodextrin was examined by comparing the transition state stabilisation parameters, KTsi, for the same reaction in the two catalytic systems. It was found that for three out of five sulfides the degree of transition state stabilisation was almost identical in both Brij-35 and α-cyclodextrin, perhaps suggesting the same catalytic mechanism in each system; this could be via either decreased stabilisation of the peracid ground state in the absence of a protic solvent and/or the prevention of significant charge development in the transition state as a result of an intramolecular proton transfer step involving the peracid that is facilitated by the absence of water. Other possibilities exist, such as general acid catalysis, though these would be more dependent on the nature of the catalytic system. There was a less clear relationship for iodide.
9

The application of automated rule checking to existing UK building regulations using BIM technologies

Malsane, Sagar January 2015 (has links)
Building designs in countries like the United Kingdom are currently checked manually against a frequently changing and increasingly complex set of building regulations. It is a major task for designers and those bodies that are charged with enforcing building regulations. As a result, there can often be ambiguity, inconsistency in assessments and delays in the overall construction process. This scenario indicates the need for automated building regulation compliance checking, which is an easier and valid option. As part of this, a critical review is carried out of the building code compliance checking related efforts undertaken in different countries, including Australia, Singapore, Australia, Norway and USA. Furthermore, it is determined that the use of Building Information Models (BIM) and the Industry Foundation Class (IFC) standard is imperative for automated compliance checking in England and Wales. Most of the initiatives mentioned above focuses on creating object based rules and mapping the entities encapsulated within them to the international building model schema. The schema is designed to support the needs of an international user and takes little consideration of national semantics (e.g. UK practice and culture). Hence, the research focuses on creating UK building regulation specific data model schema. The analysis of Part-B1 through knowledge formalisation has resulted in identification of over 120 semantic entities. Using the output, a Part-B1 data model schema has been developed using EXPRESS-G language. Thus, an England and Wales building regulation specific, semantically rich, object model schema appropriate for the requirements of automated compliance checking has been developed. The data model schema development results into a document modeling method. This method was developed in a manner such that it would be applicable to model any building regulation technical document. The development of a document modeling method acts as a contribution to the knowledge as building experts, rule authors and computer programmers can use it for data modeling. The said methodology was implemented on a sample legislative document to validate its usefulness. Also through the research work, concepts such as knowledge formalisation and a clause filter system were coined and successfully utilised to overcome the issues related to unsuitability of building regulations. This work accounts as a contribution to knowledge due to its novelty. A clause filter system was developed primarily to extract appropriate information suitable for automated compliance checking. On the basis of various key findings, a detailed framework for automated compliance checking of the UK building regulations is delivered through the research work.
10

The improvement of delay analysis in the UK construction industry

Parry, Andrew January 2015 (has links)
Delays are a common feature of construction projects and frequently lead to disputes between the parties. In resolving these disputes it is essential to have a robust methodology for analysing delays. It is argued that current understanding of available delay analysis methodologies is inadequate and hindered by taxonomic confusion. There is a need for guidance on available delay analysis methodologies and an explanation of how these are implemented, and, as a result, models have been proposed that aid practitioners in the selection of a defendable and most appropriate delay analysis method under the specific circumstances of a project. This suggests an element of choice over the method to be selected: for example, the Society of Construction Law recommended the Time Impact Analysis methodology for undertaking a retrospective delay analysis. The question is whether this or any such methodology is necessarily appropriate. There is general confusion over the selection of delay analysis methodologies. Here, it is proposed that this confusion can be reduced and delay analysis improved by an analysis of the latest research on the status of delay analysis in the UK, an analysis of common law guidance on methodology, an assessment of professional and research literature on delay analysis and research into what is being currently undertaken by experts in the field of delay analysis. This has been done using a mixed methods approach that included: (i) analysis of a questionnaire survey by the CIOB to understand the current state of time management in the UK construction industry; (ii) analysis of the industry guidance on delay analysis methodologies; (iii) a comprehensive review of related English Case Law; and (iv) an analysis of 27 case studies comprising programming expert reports that were presented as evidence in arbitrations. These multiple sources enabled the researcher to ascertain, in the case of each delay analysis methodology: (a) the dominant method actually used in disputes; (b) the details of its application; (c) the reasons for its selection; and (d) its level of accuracy and subsequent acceptability. The research demonstrates that when time claims are accompanied by cost claims there is a dichotomy in the choice of appropriate methodology. There is a clear preference for prospective analysis of time issues, but a retrospective approach for claims that involve finance. At the same time, when a claim contains both elements, the courts appear to prefer a single approach, namely, the retrospective approach. This has resulted in the recommended method of undertaking delay analysis by the Society of Construction Law being not supported by English common law and ultimately to an increase in confusion within the Industry. Given the courts’ fundamental opposition to a method that better accords with forensic logic, it is expedient to recommend a ‘best of the rest’ method for delay analysis rather than adopt a formulaic approach to selecting the appropriate delay analysis methodology. Case study reviews have shown the Windows Analysis methodology is widely used and this is also widely accepted as the most accurate and appropriate methodology, although less well known than other less appropriate delay analysis methodologies. Apart from its theoretical significance, the research should improve construction practitioners’ understanding of delay analysis, and provide clarity on the evidence required to support a claim for an extension of time. It has the potential to reduce disputes over selection criteria and promote harmony between the construction and the legal professions over the appropriate method of resolving delay claims.

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