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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.
241

Contribution à la prise des décisions stratégiques dans le contrôle de la trypanosomiase humaine africaine Contribution to strategic decision making in human African trypanosomiasis control

Lutumba, Pascal PL 29 November 2005 (has links)
RESUME La Trypanosomiase Humain Africaine (THA) demeure un problème de santé publique pour plusieurs pays en Afrique subsaharienne. Le contrôle de la THA est basé essentiellement sur la stratégie de dépistage actif suivi du traitement des personnes infectées. Le dépistage actif est réalisé par des unités mobiles spécialisées, bien que les services de santé fixes jouent un rôle important en détectant « passivement » des cas. Le dépistage reposait jadis sur la palpation ganglionnaire mais, depuis le développement du test d’agglutination sur carte (CATT), trois possibilités se sont offertes aux programmes de contrôle à savoir: i) continuer avec la palpation ganglionnaire ii) combiner la palpation ganglionnaire avec le CATT iii) recourir au CATT seul. Certains programmes comme celui de la République Démocratique du Congo (RDC) ont opté pour la combinaison en parallèle de la palpation ganglionnaire avec le CATT. Toute personne ayant une hypertrophie ganglionnaire cervicale et/ou un CATT positif est considéré comme suspecte de la THA. Elle sera soumise aux tests parasitologiques de confirmation à cause de la toxicité des médicaments anti-THA. Les tests parasitologiques classiques sont l’examen du suc ganglionnaire (PG), l’examen du sang à l’état frais (SF), la goutte épaisse colorée (GE). La sensibilité de cette séquence a été estimée insuffisante par plusieurs auteurs et serait à la base d’une grande perte de l’efficacité de la stratégie dépistage-traitement. D’autres techniques de concentration ont été développées comme la mini-Anion Exchange Concentration Technique (mAECT), la Centrifugation en Tube Capillaire (CTC) et le Quantitative Buffy Coat (QBC), mais ces techniques de concentration ne sont pas utilisées en routine. En RDC, une interruption des activités de contrôle en 1990 a eu comme conséquence une réémergence importante de la maladie du sommeil. Depuis 1998 les activités de contrôle ont été refinancées de manière structurée. Ce travail vise deux buts à savoir le plaidoyer pour la continuité des activités de contrôle et la rationalisation des stratégies de contrôle. Nous avons évalué l’évolution de la maladie du sommeil en rapport avec le financement, son impact sur les ménages ainsi que la communauté. L’exercice de rationalisation a porté sur les outils de dépistage et de confirmation. Nous avons d’abord évalué la validité des tests, leur faisabilité ainsi que les coûts et ensuite nous avons effectué une analyse décisionnelle formelle pour comparer les algorithmes de dépistage et pour les tests de confirmation. Pendant la période de refinancement structurel de la lutte contre la THA en RDC (1998-2003), le budget alloué aux activités a été doublé lorsqu’on le compare à la période précédente (1993-1997). Le nombre des personnes examinées a aussi doublé mais par contre le nombre des nouveaux cas de THA est passé d’un pic de 26 000 cas en 1998 à 11 000 en 2003. Le coût par personne examinée a été de 1,5 US$ et celui d’un cas détecté et sauvé à 300 US$. Pendant cette période, les activités ont été financées par l’aide extérieure à plus de 95%. Cette subvention pourrait laisser supposer que l’impact de la THA au niveau des ménages et des communautés est réduit mais lorsque nous avons abordé cet aspect, il s’est avéré que le coût de la THA au niveau des ménages équivaut à un mois de leur revenu et que la THA fait perdre 2145 DALYs dans la communauté. L’intervention par la stratégie de dépistage-traitement a permis de sauver 1408 DALYs à un coût de 17 US$ par DALYs sauvé. Ce coût classe l’intervention comme « good value for money ». Le recours au CATT seul s’est avéré comme la stratégie la plus efficiente pour le dépistage actif. Le gain marginal lorsque l’on ajoute la palpation ganglionnaire en parallèle est minime et n’est pas compensé par le coût élevé lié à un nombre important des suspects soumis aux tests parasitologiques. Les techniques de concentration ont une bonne sensibilité et leur faisabilité est acceptable. Leur ajout à l’arbre classique améliore la sensibilité de 29 % pour la CTC et de 42% pour la mAECT. Le coût de la CTC a été de 0,76 € et celui de la mAECT de 2,82 €. Le SF a été estimé très peu sensible. L’algorithme PG- GE-CTC-mAECT a été le plus efficient avec 277 € par vie sauvée et un ratio de coût-efficacité marginal de 125 € par unité de vie supplémentaire sauvée. L’algorithme PG-GE-CATT titration avec traitement des personnes avec une parasitologie négative mais un CATT positif à un seuil de 1/8 devient compétitif lorsque la prévalence de la THA est élevée. Il est donc possible dans le contexte actuel de réduire la prévalence de la THA mais à condition que les activités ne soient pas interrompues. Le recours à un algorithme recourant au CATT dans le dépistage actif et à la séquence PG-GE-CTC-mAECT est le plus efficient et une efficacité de 80%. La faisabilité et l’efficacité peut être différent d’un endroit à l’autre à cause de la focalisation de la THA. Il est donc nécessaire de réévaluer cet algorithme dans un autre foyer de THA en étude pilote avant de décider d’un changement de politique. Le recours à cet algorithme implique un financement supplémentaire et une volonté politique. SUMMARY Human African Trypanosomiasis (HAT) remains a major public health problem affecting several countries in sub-Saharan Africa. HAT control is essentially based on active case finding conducted by specialized mobile teams. In the past the population screening was based on neck gland palpation, but since the development of the Card Agglutination Test for Trypanosomiasis (CATT) three control options are available to the control program: i) neck gland palpation ii) CATT iii) neck gland palpation and CATT done in parallel . Certain programs such as the one in DRC opted for the latter, combining CATT and neck gland palpation. All persons having hypertrophy of the neck gland and/or a positive CATT test are considered to be a HAT suspect. Confirmation tests are necessary because the screening algorithms are not 100 % specific and HAT drugs are very toxic. The classic parasitological confirmation tests are lymph node puncture (LNP), fresh blood examination (FBE) and thick blood film (TBF). The sensitivity of this combination is considered insufficient by several authors and causes important losses of efficacy of the screening-treatment strategy. More sensitive concentration methods were developed such as the mini Anion Exchange Concentration Techniques (mAECT), Capillary Tube Centrifugation (CTC) and the Quantitative Buffy Coat (QBC), but they are not used on a routine basis. Main reasons put forward are low feasibility, high cost and long time of execution. In the Democratic Republic of Congo, HAT control activities were suddenly interrupted in 1990 and this led to an important re-emergence or the epidemic. Since 1998 onwards, control activities were financed again in a structured way. This works aims to be both a plea for the continuation of HAT control as well as a contribution to the rationalization of the control strategies. We analyzed the evolution of sleeping sickness in the light of its financing, and we studied its impact on the household and the community. We aimed at a rationalization of the use of the screening and confirmation tools. We first evaluated the validity of the tests, their feasibility and the cost and we did a formal decision analysis to compare screening and confirmation algorithms. The budget allocated to control activities was doubled during the period when structural aid funding was again granted (1998-2003) compared with the period before (1993-1997). The number of persons examined per year doubled as well but the number of cases found peaked at 26 000 in 1998 and dropped to 11 000 in the period afterwards. The cost per person examined was 1.5 US$ and per case detected and saved was 300 US$. The activities were financed for 95 % by external donors during this period. This subvention could give the impression that the impact of HAT on the household and the household was limited but when we took a closer look at this aspect we found that the cost at household level amounted to one month of income and that HAT caused the loss of 2145 DALYs in the community. The intervention consisting of active case finding and treatment allowed to save 1408 DALY’s at a cost of 17 US$ per DALY, putting the intervention in the class of “good value for money”. The use of CATT alone as screening test emerged as the most efficient strategy for active case finding. The marginal gain when neck gland palpation is added is minor and is not compensated by the high cost of doing the parasitological confirmation test on a high number of suspected cases. The concentration methods have a good sensitivity and acceptable feasibility. Adding them to the classical tree improves its sensitivity with 29 % for CTC and with 42 % for mAECT. The cost of CTC was 0.76 US$ and of mAECT was 2.82 US$. Sensitivity of fresh blood examination was poor. The algorithm LNP-TBF-CTC-mAECT was the most efficient costing 277 Euro per life saved and a marginal cost effectiveness ratio of 125 Euro per supplementary life saved. The algorithm LNP-TBF-CATT titration with treatment of persons with a negative parasitology but a CATT positive at a dilution of 1/8 and more becomes competitive when HAT prevalence is high. We conclude that it is possible in the current RDC context to reduce HAT prevalence on condition that control activities are not interrupted. Using an algorithm that includes CATT in active case finding and the combination LNP-TBF-CTC-mAECT is the most efficient with an efficacy of 80 %. Feasibility and efficacy may differ from one place to another because HAT is very focalized, so it is necessary to test this novel algorithm in another HAT focus on a pilot basis, before deciding on a policy change. Implementation of this algorithm will require additional financial resources and political commitment.
242

Experimental study and analytical modeling of translayer fracture in pultruded FRP composites

El-Hajjar, Rani Fayez 18 March 2004 (has links)
A new nonlinear fracture analysis framework is developed for the mode-I and II fracture response of thick-section fiber reinforced polymeric (FRP) composites. This framework employs 3D micromechanical constitutive models for the nonlinear material behavior along with cohesive elements for crack growth. Fracture tests on various cracked geometries are used to verify the prediction of the failure loads and the crack growth behavior. A commercially available pultruded E-glass/polyester and vinylester thick-section FRP composite material was used to demonstrate the proposed fracture approach along with the nonlinear constitutive modeling. A new Infra-red thermography technique is derived to measure the surface strain field near the crack tip in the linear response range. Mode I and II fracture toughness tests for pultruded composites are also examined using the eccentrically loaded, single-edge-notch tension, ESE(T), single-edge-notch tension, SEN(T), and a butterfly specimen with an Arcan-type fixture. Material nonlinearity and crack growth effects were observed during the tests and investigated using the proposed analysis framework. The effect of material orthotropy on the stress intensity factor solutions was addressed using the virtual crack closure technique. The analytic and experimental results support the use of the ESE(T) specimen for the measuring the mode-I fracture toughness and the butterfly shaped specimen for measuring the mode-II toughness. The calibrated cohesive models were able to predict the measured crack growth in both modes I and II for various crack geometries. A mixed mode failure criterion is proposed and verified with test results. Examples are presented for using this criterion and crack growth analyses. The experimental and analytical results of this study can form a foundation for using fracture-based methods for the design of structures using these materials.
243

Untersuchung der gassensitiven Eigenschaften von SnO2/NASICON-Kompositen / Investigation of the gas sensitive properties of SnO2/NASICON-Composits

Hetznecker, Alexander 17 April 2005 (has links) (PDF)
In this work the influence of solid electrolyte additives on the gas sensing properties of tin oxide layers was investigated systematically for the first time. NASICON (NAtrium, Super Ionic CONductor, Na(1+x)Zr2SixP(3-x)O12; 0 <= x <= 3) was used as a model for solid electrolyte additives. The structure of that material is ideally suitable for studies of the correlation between material parameters and the gas sensitivity of the layers. In the NASICON structure the content of mobile Na+-ions can be varied by a factor of four resulting in a simultaneous change of the ionic conductivity sigma(Na+) by approximately three orders of magnitude without considerable structural alterations. Powders of SnO2 and NASICON (x = 0; 2.2; 3) were prepared separately by means of sol-gel routes and mixed in a volume ratio of 80/20. Pastes were prepared from these powders with different compositions and screen printed on alumina substrates with a fourfold structure of thin film gold electrode combs. Four different compositions were characterised simultaneously at elevated temperatures in various gas atmospheres. The conductivity of the layers, when measured in air, decreases considerably with increasing Na+-content in the NASICON additive. This is correlated with enhanced activation energy of the electronic conductivity. The sensitivity of the layers to polar organic molecules like R-OH (alcohols), R-HO (aldehydes) and ROOH (carboxylic acids) is highly enhanced by the NASICON additive. This is observed especially on the admixtures with NASICON of high Na+-content (x = 2.2 and x = 3). On the other hand, the sensitivity to substances with mid-standing functional groups like 2-propanol or propanone can not be enhanced by NASICON additives. Furthermore the sensitivity of these composite layers to CO, H2, NH3, methane, propane, propene and toluene (all exposed as admixtures with air) is lower than the sensitivity of pure SnO2-layers. These observations are well correlated with the results of gas consumption measurements on SnO2/NASICON powders by means of FTIR spectroscopy. In spite of the lack of surface analytical data, a model of surface chemical gas reactions based on a triple phase boundary (SnO2/NASICON/gas atmosphere) was developed, which explains the experimental observations qualitatively. It is assumed that the decrease of the electronic conductivity as observed in the presence of NASICON additives with increasing Na+-content is due to an enhanced electron depletion layer. This is formed in the SnO2 grains by Na+/e- interactions across the SnO2/NASICON-interface. The enormous enhancement of the sensitivity to polar organic molecules may be due to specific nucleophilic interactions with the Na+-ions and coupled Na+/e--interactions at the triple phase reaction sites.
244

Bound together : being-with gay and lesbian leather communities and visual cultures, 1966-1984

Campbell, Andrew Raymond 05 May 2015 (has links)
Bound Together elucidates how gay and lesbian leather communities, in the years between 1966 and 1984, contested and expanded fungible notions of sex, community, and history, mostly through material and visual cultural systems: dress codes such as the hanky code, architectural spaces (bars, bathhouses, private clubs), garments, posters, advertisements, newsletters, films, and performances. In examining visual and material cultures, procedures of archival research, as well as the physical states of key archives associated with historic gay and lesbian leather communities, this dissertation opens out a discussion of a set of visual documents and terms rarely considered within the discipline of art history, or academia at large. Through rigorous rhetorical experimentation Bound Together seeks to propose new ways of writing histories. Long and short chapters are interpolated, telescoping between historical leather communities and key works of contemporary art which reformat 1970s documents and visual sources. Jean Luc-Nancy’s conception of “being-with,” a state of coterminous existence that lies at the foundation of being and subjecthood, provides an ideal framework for coming to terms with the challenges of writing leather histories. Nancy’s notion is one that privileges mutual and relational difference. The structure of Bound Together works similarly, building a set of differential modes of viewing, analyzing and writing. In this way I wish to, in the words of Tilottama Rajan, use “history as the condition for an internal distanciation and for self-reflection on what we do,” and to furthermore present alternatives to a discipline’s often “routinized, even commodified […] repeatable techniques.” / text
245

A Passive Mid-infrared Sensor to Measure Real-time Particle Emissivity and Gas Temperature in Coal-fired Boilers and Steelmaking Furnaces

Rego Barcena, Salvador 01 August 2008 (has links)
A novel technique for measuring gas temperature and spectral particle emissivity in high-temperature gas-particle streams is presented. The main application of this optical sensor is to improve the process control of batch unit operations, such as steelmaking furnaces. The spectral emission profile of CO and CO2 and the continuous particle emission in the 3.5 to 5 μm wavelength region was recorded and analyzed in real time with a low-resolution passive sensor. The sensor consisted of light collecting optics, a dispersion element (grating spectrometer) and a 64-pixel pyroelectric array. Wavelength and radiance calibrations were performed. The temperature of the gas-particle medium (Tg+p) followed from the least-squares minimization of the difference between the measured radiance in the 4.56-4.7 μm region –which saturates due to the large CO2 concentrations and path lengths in industrial furnaces– and the corresponding blackbody radiance. Particle emissivity (εp) was calculated at 3.95 μm from an asymptotic approximation of the Radiative Transfer Equation that yields the emerging radiance from a semi-infinite particle cloud. The major source of error in the magnitude of Tg+p and εp could come from particle scattering. Through the method of embedded invariance an expression was developed to estimate the lowering effect of particle size and volume fraction on the saturation of the 4.56-4.7 μm CO2 emission region. An iterative procedure for correcting the values of the gas-particle temperature and particle emissivity was applied to the datasets from the two industrial tests. Results from the measurement campaigns with the infrared sensor prototype at two full-scale furnaces are presented. A proof-of-concept test at a coal-fired boiler for electricity production was followed by more extensive measurements at a Basic Oxygen Furnace (BOF) for steelmaking. The second test provided temperature and particle emissivity profiles for eight heats, which highlighted the simplicity of the technique in obtaining in-situ measurements for modeling studies. Through the analysis of the particle emissivity profile in the BOF and the definition of a new variable –the minimum carbon time– a novel end-point strategy to stop the injection of high-purity oxygen during low-carbon heats in BOF converters was proposed.
246

A Passive Mid-infrared Sensor to Measure Real-time Particle Emissivity and Gas Temperature in Coal-fired Boilers and Steelmaking Furnaces

Rego Barcena, Salvador 01 August 2008 (has links)
A novel technique for measuring gas temperature and spectral particle emissivity in high-temperature gas-particle streams is presented. The main application of this optical sensor is to improve the process control of batch unit operations, such as steelmaking furnaces. The spectral emission profile of CO and CO2 and the continuous particle emission in the 3.5 to 5 μm wavelength region was recorded and analyzed in real time with a low-resolution passive sensor. The sensor consisted of light collecting optics, a dispersion element (grating spectrometer) and a 64-pixel pyroelectric array. Wavelength and radiance calibrations were performed. The temperature of the gas-particle medium (Tg+p) followed from the least-squares minimization of the difference between the measured radiance in the 4.56-4.7 μm region –which saturates due to the large CO2 concentrations and path lengths in industrial furnaces– and the corresponding blackbody radiance. Particle emissivity (εp) was calculated at 3.95 μm from an asymptotic approximation of the Radiative Transfer Equation that yields the emerging radiance from a semi-infinite particle cloud. The major source of error in the magnitude of Tg+p and εp could come from particle scattering. Through the method of embedded invariance an expression was developed to estimate the lowering effect of particle size and volume fraction on the saturation of the 4.56-4.7 μm CO2 emission region. An iterative procedure for correcting the values of the gas-particle temperature and particle emissivity was applied to the datasets from the two industrial tests. Results from the measurement campaigns with the infrared sensor prototype at two full-scale furnaces are presented. A proof-of-concept test at a coal-fired boiler for electricity production was followed by more extensive measurements at a Basic Oxygen Furnace (BOF) for steelmaking. The second test provided temperature and particle emissivity profiles for eight heats, which highlighted the simplicity of the technique in obtaining in-situ measurements for modeling studies. Through the analysis of the particle emissivity profile in the BOF and the definition of a new variable –the minimum carbon time– a novel end-point strategy to stop the injection of high-purity oxygen during low-carbon heats in BOF converters was proposed.
247

Truth-telling in aged care: a qualitative study

Tuckett, Anthony Gerrard January 2003 (has links)
This thesis argues that truth-telling in high level (nursing home) aged care is a undamentally important aspect of care that ought to reside equally alongside instrumental care. The health of the resident in a nursing home, as with individuals in other care contexts, is directly linked to care provision that allows the resident to be self determining about their care and thus allows them to make reasonable choices and decisions. This qualitative study explores the meaning of truth-telling in the care providerresident dyad in high level (nursing home) aged care. Grounded within the epistemology of social constructionism and the theoretical stance of symbolic interactionism, this study relied on oral and written text from care providers (personal care assistants and registered nurses) and residents. Thematic analysis of data relied on practices within grounded theory to determine their understanding and the conditions and consequences of their understanding about truth-telling in the nursing home. Through an understanding of the relationship-role-residency trinity, truth-telling in high level (nursing home) care comes to be understood. It has been determined that the link between truth-telling and the nature of the care provider-resident (and residents' families) relationship is that both personal carers and nurses in this study premise their understanding of truth disclosure on knowing a resident's (and resident's family's) capacity for coping with the truth and therefore catering for the resident's or family's best interests. The breadth and depth of this knowing and how the relationship is perceived and described determine what care providers will or will not tell. That is, the perceptions both personal carers and nurses have about the relationship - how they describe themselves as 'family like', 'friend' and 'stranger', has implications for the way disclosure operates and is described. Additionally, how care providers perceive and understand their role determines what care providers will or will not tell. That is, the perceptions both carers and nurses have about their own and each other's role - how they describe themselves for example as 'hands-on' carer and 'happy good nurse' has implications for the way disclosure operates and is described. Furthermore, care providers' meaning and understanding of truth-telling in aged care is not possible in the absence of an appreciation of how the care providers give meaning to and come to understand the care circumstance - residency, the aged care facility, the nursing home. That is, the perceptions both personal carers and nurses have about the aged care facility - how they describe residency as 'Home away from Home' (and what this means), as a place of little time and a plethora of situations have implications for the operation of truth-telling as a whole. Recommendations from the study include the implementation of a telling audit to better serve the truth-telling preferences of residents and the reorientation of care practices to emphasise affective care (talk rather than tasks). Furthermore, it is recommended that changes occur to the care provider roles, that care providers define themselves as facilitators rather than protectors, and education be ongoing to improve communication with and care of residents with dementia and those dying. Finally, the language of residency as 'home' needs to capture an alternate philosophy and attendant practices for improved open communication.
248

Proteomics of Aspergillus nidulans sexually differentiated cells

Dirnberger, Benedict 04 July 2018 (has links)
No description available.
249

Testverktyg för prestandamätningar av feta klienter : - En fallstudie med fokus på identifiering av testverktyg och beskrivning av viktiga kriterier för dessa / Testing tools for performance testing thick clients : – a case study with focus on identifying testing tools and describing important criteria for these

Stenberg, Maria January 2017 (has links)
Denna studie syftar till att beskriva prestandatest av feta klienter, ibland också kallade skrivbordsapplikationer. Studien syftar även till att kartlägga testverktyg som kan användas för att utföra prestandatest av feta klienter och att identifiera vilka egenskaper som anses vara viktiga kriterier för dessa testverktyg. Undersökningen är skapad som en fallstudie som undersökningsstrategi där fallets utgångspunkt är Trafikverkets behov men undersökning och dess resultat kan även appliceras på andra verksamheter där testarbete utförs. Både kvalitativ och kvantitativ datainsamling användes i undersökningen genom intervjuer och dokumentstudier samt enkätformulär. Då insamlat data i undersökningen är av både kvalitativ och kvantitativ form så användes också en blandning av en kvalitativ tematisk analys och kvantitativ dataanalys. En del av analysen är en utvärdering av ett testverktygsurval mot sammanställda kriterier, en kriteriebaserad utvärderingsmetod. Tillvägagångssättet för val och utvärdering av testverktyg som tillämpats genom studien är baserat på tidigare befintliga teorier som funnits genom litteraturstudier. Litteraturstudierna har även stått till grund för att definiera undersökningens centrala begrepp och bidrar till resultat genom en jämförelse med insamlat data. Resultatet från undersökningen bidrar med ett beslutsunderlag för verksamheter som står inför ett val av testverktyg för prestandatest av feta klienter och en utvärdering av dessa innan licenser införskaffas. Undersökningen bidrar även med en karakterisering av prestandatest av feta klienter. I just detta fall var de mest passande testverktygen för syftet HP LoadRunner samt två testverktyg från eggPlant i kombination (eggPlant Functional och eggPlant Performance). / The aim of this study is to describe performance testing on thick clients, sometimes also referred to as desktop applications. Another aim with this study is to map out a selection of testing tools that can be used for performance testing of thick clients and to identify what qualities that is considered to be important criteria for these testing tools. The study is based on the research strategy called case study where the case is grounded the needs from Trafikverket but the results from this study could be applied on other business organizations that works with testing. Both qualitative and quantitative data collecting methods where used in this study, in the form och interviews, document studies and questionnaires. Since the collected data in the study where in both qualitative and quantitative form the use of a mix between a qualitative thematical data analysis and a quantitative data analysis had to be done. A part of the analysis was an evaluation on a selection of testing tools towards a compiled list of criteria, as an evaluation method based on criteria. The course of action for choosing and evaluation a testing tool that has been applied throughout the study is based on preexisting theories that has been found through reviews of literature. The reviews of literature have also been the ground for defining the central concepts of the study and contributes to the result by comparing what’s been found in literature to the collected data. The result of the study contributes with a basis for decision for companies and organizations that is in the process of getting a testing tool for performance testing thick clients och how to evaluate these before obtaining the testing tool licenses. The study also contributes with a characterization of performance testing thick clients. In this particular case, the most suitable testing tools came to be HP LoadRunner and also two testing tools from eggPlant combined (eggPlant Functional and eggPlant Performance).
250

[en] THICK REINFORCED CONCRETE PLATES: COMPUTATIONAL MODEL FOR PRELIMINARY DESIGN AND DESIGN EVALUATION OF WIND TURBINE FOUNDATIONS / [pt] PLACAS ESPESSAS DE CONCRETO ARMADO: MODELO COMPUTACIONAL PARA ANTEPROJETOS E AVALIAÇÃO DE PROJETOS DE ESTRUTURAS DE FUNDAÇÕES DE GERADORES EÓLICOS

MONIQUE NASCIMENTO DOS SANTOS 30 August 2017 (has links)
[pt] Nos últimos anos, o considerável crescimento da demanda por outras fontes de energia justifica os investimentos realizados na construção de parques eólicos, pois a energia eólica tem se mostrado como a que traz o menor impacto ao meio ambiente. A energia eólica é gerada a partir da ação do vento, uma fonte de energia renovável, totalmente limpa e inesgotável. As torres eólicas são construídas em grandes parques com uma distância definida entre elas. Quanto mais altas são as torres eólicas, melhor é o desempenho delas, visto que temos o aproveitamento máximo do vento, sendo mais forte e menos turbulento em grandes alturas. Os materiais utilizados na fabricação das torres eólicas são basicamente o aço, o concreto armado e o concreto protendido. As torres na maioria dos casos, têm seção circular ou anular. No entanto, devemos atentar de maneira especial para a fundação da torre eólica, que deverá ser dimensionada e detalhada a fim de garantir a integridade da estrutura como um todo. Neste contexto, este trabalho tem como objetivo apresentar os cálculos necessários para projetos preliminares e a verificação do dimensionamento da estrutura de fundação de geradores eólicos. Anteprojetos e projetos estruturais foram revisados e avaliados para a obtenção de um maior conhecimento sobre o funcionamento de tais elementos estruturais. Uma planilha foi criada a partir do programa Excel, na qual se efetuam os cálculos da respectiva fundação por meio de soluções analíticas. Para efeitos de comprovação da veracidade da planilha, alguns exemplos serão apresentados e calculados a partir da planilha criada, assim como verificados e comparados com a mesma através da modelagem da fundação em questão em programa de análise em elementos finitos. Aspectos de estabilidade e dinâmica de placas circulares também são discutidos. / [en] In recent years, considerable growth in demand for alternative energy sources justifies the investments made in the construction of wind farms, since wind energy appears to bring the least impact on the environment. Wind energy is generated from wind action, a source of renewable energy, totally clean and inexhaustible. Wind towers are built in huge parks with a defined distance between them. The higher the wind towers are, the better their performance, since we have the maximum use of the wind which is stronger and less turbulent at great heights. The materials used in the manufacture of wind towers are basically steel, reinforced concrete and prestressed concrete. The towers are usuallyin most cases, with circular or annular section. However, we should pay attention in a special way on the foundation of the wind tower, which should be designed and detailed to ensure the integrity of the structure as a whole. In this context, this dissertation aims to present the calculations required for the preliminary design or design verification of the foundation of wind turbines. Preliminary design and design evaluations were reviewed and evaluated to obtain a better understanding of the functioning of such structural elements. A spreadsheet was created using the Excel program, which performs the calculations of its foundation through analytical solutions. For the purpose of proving the accuracy of the worksheet results, some examples are presented and calculated from the created spreadsheet, and checked and compared to results obtained from an independent finite element analysis program. Stability and dynamics aspects of circular plates are also discussed.

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