152 research outputs found

    Dynamic thermal rating of a Modular Multilevel Converter HVDC link with overload capacity

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    © 2015 IEEE.The power rating of Modular Multilevel Converter based HVDC has increased rapidly over the past decade, with individual links in the gigawatt power range now technically feasible and further power increases on the horizon. Such large links may be required to provide ancillary services such as fast frequency response or emergency power re-routing in the event of a system disturbance. Providing such services may require converters to be designed with overload capacity. This paper examines how the thermal aspects of semiconductor devices may impact the operation of such converters and how the exploitation of short-term thermal dynamics may lead to dynamic overload rating

    Power loss and thermal characterization of IGBT modules in the Alternate Arm converter

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    Power losses in high power HVDC converters are dominated by those that occur within the power electronic devices. This power loss is dissipated as heat at the junction of semiconductor devices. The cooling system ensures that the generated heat is evacuated outside the converter station but temperature management remains critical for the lifetime of the semiconductor devices. This paper presents the results of a study on the temperature profile of the different switches inside a multilevel converter. The steady state junction temperatures are observed through the simulation of a 20 MW Alternate Arm Converter using 1.2kA 3.3 kV IGBT modules. A comparison of the Alternate Arm Converter is made against the case of both the half-bridge and full-bridge Modular Multilevel Converter topologies. Furthermore, the concept of varying the duty-cycle of the two alternative zero-voltage states of the H-bridge modules is introduced. Simulation results demonstrate that it can change the balance of electrical and thermal stress between the two top switches and the two bottom switches of a full-bridge cell. © 2013 IEEE

    Effective Damping Support through VSC-HVDC Links with Short-Term Overload Capability

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    Damping service provision through VSC-based HVDC links has been extensively covered in the literature. However, little or no attention has been paid to the available range of active and reactive power modulation when the HVDC link is already operating at rated capacity. In these conditions some overload capability is usually assumed, ignoring the physical constraints imposed by the safe operating area of the IGBT modules in the converter. This paper presents, in a unified framework, the provision of damping support from VSC-HVDC links equipped with additional control for short-term overload capability. The performance of a Model Predictive Control (MPC) damping controller that accounts for the extended P/Q operating area of the converter is analysed. Case studies are presented to show that the extracted short-term overload capability can significantly improve the damping support from VSC-HVDC links. Simulation results also include the impact of damping control action on the junction temperatures of the IGBT modules of the converters, quantifying the effect of this service on the semiconductor temperature dynamics

    An Analytical Approach to Evaluate the Reliability of Offshore Wind Power Plants Considering Environmental Impact

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    The accurate quantitative reliability evaluation of off-shore wind power plants (OWPPs) is an important part in planning and helps to obtain economic optimization. However, loop structures in collector systems and large quantities of components with correlated failures caused by shared ambient influences are significant challenges in the reliability evaluation. This paper proposes an ana-lytical approach to evaluate the reliability of OWPPs considering environmental impact on failures and solve the challenges by protection zone models, equivalent power unit models and common cause failure (CCF) analysis. Based on investigation of the characteristics of OWPP and related failures mechanisms, the components are divided into three CCF subsets. With the aid of the protection zone model and equivalent power unit model merged with CCF, the faulty collector system state eval-uation is applied to reduce the computational burden. The case studies present the necessity and improved per-formance of merging CCF analysis into modeling via the comparison with other two simplified methods. A sensi-tivity analysis is also carried out to account for inaccu-racy of failure data. The results show that the assump-tion of independent failures in the conventional method might lead to over-optimistic or over-pessimistic evalua-tion depending on the CCF style

    Nanoscale imaging reveals laterally expanding antimicrobial pores in lipid bilayers

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    Antimicrobial peptides are postulated to disrupt microbial phospholipid membranes. The prevailing molecular model is based on the formation of stable or transient pores although the direct observation of the fundamental processes is lacking. By combining rational peptide design with topographical (atomic force microscopy) and chemical (nanoscale secondary ion mass spectrometry) imaging on the same samples, we show that pores formed by antimicrobial peptides in supported lipid bilayers are not necessarily limited to a particular diameter, nor they are transient, but can expand laterally at the nano-to-micrometer scale to the point of complete membrane disintegration. The results offer a mechanistic basis for membrane poration as a generic physicochemical process of cooperative and continuous peptide recruitment in the available phospholipid matrix

    Central Crosstalk for Somatic Tinnitus: Abnormal Vergence Eye Movements

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    Frequent oulomotricity problems with orthoptic testing were reported in patients with tinnitus. This study examines with objective recordings vergence eye movements in patients with somatic tinnitus patients with ability to modify their subjective tinnitus percept by various movements, such as jaw, neck, eye movements or skin pressure.Vergence eye movements were recorded with the Eyelink II video system in 15 (23–63 years) control adults and 19 (36–62 years) subjects with somatic tinnitus.1) Accuracy of divergence but not of convergence was lower in subjects with somatic tinnitus than in control subjects. 2) Vergence duration was longer and peak velocity was lower in subjects with somatic tinnitus than in control subjects. 3) The number of embedded saccades and the amplitude of saccades coinciding with the peak velocity of vergence were higher for tinnitus subjects. Yet, saccades did not increase peak velocity of vergence for tinnitus subjects, but they did so for controls. 4) In contrast, there was no significant difference of vergence latency between these two groups.The results suggest dysfunction of vergence areas involving cortical-brainstem-cerebellar circuits. We hypothesize that central auditory dysfunction related to tinnitus percept could trigger mild cerebellar-brainstem dysfunction or that tinnitus and vergence dysfunction could both be manifestations of mild cortical-brainstem-cerebellar syndrome reflecting abnormal cross-modality interactions between vergence eye movements and auditory signals

    Seeking legitimacy through CSR: Institutional Pressures and Corporate Responses of Multinationals in Sri Lanka

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    Arguably, the corporate social responsibility (CSR) practices of multinational enterprises (MNEs) are influenced by a wide range of both internal and external factors. Perhaps most critical among the exogenous forces operating on MNEs are those exerted by state and other key institutional actors in host countries. Crucially, academic research conducted to date offers little data about how MNEs use their CSR activities to strategically manage their relationship with those actors in order to gain legitimisation advantages in host countries. This paper addresses that gap by exploring interactions between external institutional pressures and firm-level CSR activities, which take the form of community initiatives, to examine how MNEs develop their legitimacy-seeking policies and practices. In focusing on a developing country, Sri Lanka, this paper provides valuable insights into how MNEs instrumentally utilise community initiatives in a country where relationship-building with governmental and other powerful non-governmental actors can be vitally important for the long-term viability of the business. Drawing on neo-institutional theory and CSR literature, this paper examines and contributes to the embryonic but emerging debate about the instrumental and political implications of CSR. The evidence presented and discussed here reveals the extent to which, and the reasons why, MNEs engage in complex legitimacy-seeking relationships with Sri Lankan institutions

    Self-Protective Function of Post-Conflict Bystander Affiliation in Mandrills

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    Background: Affiliative interactions exchanged between victims of aggression and individuals not involved in the original aggression (bystanders) have been observed in various species. Three hypothetical functions have been proposed for these interactions: consolation, self-protection and substitute reconciliation, but data to test them are scanty. Methodology/Principal Findings: We conducted post-conflict and matched control observations on a captive group of mandrills (Mandrillus sphinx). We found that victims often redirected aggression to bystanders, that they received most affiliation from those bystanders that were frequently the target of redirection, and that bystander affiliation reduced the likelihood of redirection. Bystander affiliation did not reduce the victim\u27s distress (as measured by its scratching rates) and was not received primarily from kin/friends. Finally, bystander affiliation did not reduce the likelihood of renewed aggression from the original aggressor. Conclusions/Significance: These results provide support for the self-protection hypothesis but not for the consolation and substitute reconciliation hypotheses

    Income Attainment among Victims of Violence: Results From a Preliminary Study

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    Violent victimisation may have many short-term psychological and physical outcomes. Occasionally, the negative aftermath of violence persists over time or induces other and more far-reaching consequences. Income attainment after victimisation is one of these outcomes. To date, previous studies have focussed on the income effects of violent victimisation during childhood and adolescence. Violence exposure during the early stages of the life course may frustrate processes of educational and occupational attainment and consequentially result in lower income levels. However, in addition or alternatively, many other and age-independent pathways between violent victimisation and income may be suggested. Prior studies appear to have paid little attention to this issue. Therefore, the purpose of the current study was to explore whether violent victimisation is associated with income levels several years after victimisation, irrespective of the age at which victimisation occurs. Victims of violence were recruited through the Dutch Victim Compensation Fund. To preliminary estimate the effect of violent victimisation on income, a comparable control group of non-victims was composed. The study sample contained 206 victims and 173 non-victims. Both bivariate correlational and multivariate statistical techniques suggested that violent victimisation is a significant predictor of income. Implications of the presented results were discussed with regard to future research and policy practice
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