625 research outputs found

    A case study based assessment of potential cumulative impacts on groundwater from shale gas production in Northern England

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    The UK shale gas industry might see significant growth in the near future, with many energy companies already having gained approval and others in the stages of seeking approval for exploration. Exploratory boreholes have been in place in the Vale of Pickering, North Yorkshire, and the Fylde Basin, Lancashire, since 2013 and 2010 respectively. Since then, several other sites around the UK have been earmarked for future exploration. The current absence of producing shale gas wells within the UK means it is too early to assess any actual impact of these operations at the local, regional and national scale. However, international analogues may provide some indications based on areas elsewhere in the world where a shale gas industry is more developed (e.g. the Marcellus Shale, USA) albeit with obvious limitations due to differences in geology and setting. While regulation and compliance of shale gas operations varies between countries, the process and method of extraction and the environmental risks are comparable. The general requirements for water, drilling mud/fluids, hydraulic fracturing fluids (“frac fluids”) and the design of wells and well pads can all be extracted from an already mature international experience. However, the requirements in the UK will be modified by the regulatory requirements and restrictions that exist. There are ongoing discussions within the UK to determine whether shale gas is beneficial, economically viable and environmentally safe. In this report, the impact on land use, groundwater quality and water resources of one well in a selection of approved Petroleum Exploration and Development Licence (PEDL) areas will be considered, followed by an estimation of the cumulative impacts that may result from multiple extraction sites within these areas. The exercise will depend on ranges of input parameters informed by international analogues applied in a UK geo-environmental setting. To recognise the variability in parameters and uncertainty in UK industry development, a range of impact scenarios - low, moderate and high – have been considered

    Practice characteristics of Emergency Department extracorporeal cardiopulmonary resuscitation (eCPR) programs in the United States: The current state of the art of Emergency Department extracorporeal membrane oxygenation (ED ECMO).

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    PURPOSE: To characterize the current scope and practices of centers performing extracorporeal cardiopulmonary resuscitation (eCPR) on the undifferentiated patient with cardiac arrest in the emergency department. METHODS: We contacted all US centers in January 2016 that had submitted adult eCPR cases to the Extracorporeal Life Support Organization (ELSO) registry and surveyed them, querying for programs that had performed eCPR in the Emergency Department (ED ECMO). Our objective was to characterize the following domains of ED ECMO practice: program characteristics, patient selection, devices and techniques, and personnel. RESULTS: Among 99 centers queried, 70 responded. Among these, 36 centers performed ED ECMO. Nearly 93% of programs are based at academic/teaching hospitals. 65% of programs are less than 5 years old, and 60% of programs perform ≀3 cases per year. Most programs (90%) had inpatient eCPR or salvage ECMO programs prior to starting ED ECMO programs. The majority of programs do not have formal inclusion and exclusion criteria. Most programs preferentially obtain vascular access via the percutaneous route (70%) and many (40%) use mechanical CPR during cannulation. The most commonly used console is the Maquet Rotaflow(Âź). Cannulation is most often performed by cardiothoracic (CT) surgery, and nearly all programs (\u3e85%) involve CT surgeons, perfusionists, and pharmacists. CONCLUSIONS: Over a third of centers that submitted adult eCPR cases to ELSO have performed ED ECMO. These programs are largely based at academic hospitals, new, and have low volumes. They do not have many formal inclusion or exclusion criteria, and devices and techniques are variable

    Ethical and compliance-competence evaluation: a key element of sound corporate governance

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    Motivated by the ongoing post-Enron refocusing on corporate governance and the shift by the Financial Services Authority (FSA) in the UK to promoting compliance- competence within the financial services sector, this paper demonstrates how template analysis can be used as a tool for evaluating compliance-competence. Focusing on the ethical dimension of compliance-competence, we illustrate how this can be subjectively appraised. We propose that this evaluation technique could be utilised as a starting point in informing senior management of corporate governance issues and be used to monitor and demonstrate key compliance and ethical aspects of an institution to external stakeholders and regulators

    Seasonal and hydrological control of phytoplankton nutrient limitation in the lower Neuse River Estuary, North Carolina

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    The lower estuary experienced a general state of nitrogen limitation, with especially pronounced limitation during summer months, a period of high phytoplankton productivity. Bioassays conducted during spring months showed significantly greater stimulation of algal productivity with the addition of N and P than that found with N addition alone. This co-stimulation occurred during periods when surface-water dissolved inorganic N:dissolved inorganic P ratios were elevated above typical values of <5. Seasonal patterns in ambient nutrient concentrations revealed N maxima associated with spring, fall, and winter runoff events, with summer minima. Hydrologically driven N loading exerted a strong, year-round influence on primary production and nutrient limitation characteristics. High-flow events acted to oversaturate the upper estuarine nutrient filtering capacity, resulting in increased N delivery to the lower estuarine environment. The phytoplankton community responded to increased flow and nutrient loadings by increasing production and biomass levels, often very rapidly. Hydrologic factors influencing nitrogen loading (terrigenous runoff, point source inputs, and wet and dry atmospheric deposition) are key determinants of the trophic state of this estuary

    Characterization of Pfiesteria Ichthyocidal Activity

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    Letter to the Editor regarding article: Drgon, T., et al. 2005. Characterization of ichthyocidal activity of Pfiesteria piscicida: Dependence on the dinospore cell density. Appl. Environ. Microbiol. 71:519–52

    Regulation of estuarine primary production by watershed rainfall and river flow

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    Enhanced phytoplankton production and algal blooms, symptoms of eutrophication, are frequently caused by elevated nutrient loading, usually as nitrogen, to coastal waters. This nitrogen is derived primarily from anthropogenic sources (urban, industrial, and agricultural) but is delivered to coastal waters through meteorological and hydrological means. We utilized a 4 yr monthly data set to investigate the effect of these upstream physical forces upon primary productivity of the Neuse River Estuary (North Carolina, USA), a large temperate coastal plain estuary. Our results indicate that the magnitude of estuarine primary production and the periodicity of algal blooms can be directly related to variations in upper watershed rainfall and its subsequent regulation of downstream river flow. Future changes in precipitation patterns for coastal regions may thus lead to substantial alterations in coastal primary productivity rates and patterns

    Winds and the orientation of a coastal plane estuary plume

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    Peer Reviewedhttp://deepblue.lib.umich.edu/bitstream/2027.42/95659/1/grl27359.pd

    Governance tools for board members : adapting strategy maps and balanced scorecards for directorial action

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    The accountability of members of the board of directors of publicly traded companies has increased over years. Corresponding to these developments, there has been an inadequate advancement of tools and frameworks to help directorial functioning. This paper provides an argument for design of the Balanced Scorecard and Strategy Maps made available to the directors as a means of influencing, monitoring, controlling and assisting managerial action. This paper examines how the Balanced Scorecard and Strategy Maps could be modified and used for this purpose. The paper suggests incorporating Balanced Scorecards in the Internal Process perspective, ‘internal’ implying here not just ‘internal to the firm’, but also ‘internal to the inter-organizational system’. We recommend that other such factors be introduced separately under a new ‘perspective’ depending upon what the board wants to emphasize without creating any unwieldy proliferation of measures. Tracking the Strategy Map over time by the board of directors is a way for the board to take responsibility for the firm’s performance. The paper makes a distinction between action variables and monitoring variables. Monitoring variables are further divided on the basis of two considerations: a) whether results have been met or not and b) whether causative factors have met the expected levels of performance or not. Based on directorial responsibilities and accountability, we take another look at how the variables could be specified more completely and accurately with directorial recommendations for executives
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