Auswahl der wissenschaftlichen Literatur zum Thema „Capture, 1630“

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Zeitschriftenartikel zum Thema "Capture, 1630"

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Ding, Ming-ming, Xiao-zheng Duan, Yu-yuan Lu, and Tong-fei Shi. "Statistics of polymer capture by a nanopore: A Brownian dynamics simulation study." Chinese Journal of Polymer Science 33, no. 5 (2015): 674–79. http://dx.doi.org/10.1007/s10118-015-1630-2.

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Mehrvarz, Elaheh, Ali Asghar Ghoreyshi, and Mohsen Jahanshahi. "Surface modification of broom sorghum-based activated carbon via functionalization with triethylenetetramine and urea for CO2 capture enhancement." Frontiers of Chemical Science and Engineering 11, no. 2 (2017): 252–65. http://dx.doi.org/10.1007/s11705-017-1630-6.

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Morales-Mora, M. A., C. F. Pretelìn-Vergara, S. A. Martínez-Delgadillo, C. Iuga, and C. Nolasco-Hipolito. "Environmental assessment of a combined heat and power plant configuration proposal with post-combustion CO2 capture for the Mexican oil and gas industry." Clean Technologies and Environmental Policy 21, no. 1 (2018): 213–26. http://dx.doi.org/10.1007/s10098-018-1630-3.

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Li, Jeany Q., Jennifer Dell, Tobias Höller, et al. "Das Treatment Exit Options for Uveitis (TOFU) Register: Einbindung von Patienten in die Evidenzgenerierung." Das Gesundheitswesen 83, S 01 (2021): S39—S44. http://dx.doi.org/10.1055/a-1630-6895.

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ZusammenfassungUveitis ist eine seltenere entzündliche Augenerkrankung, die zu schwerer Sehbehinderung und Blindheit führen kann und besonders Menschen im berufstätigen Alter betrifft. Besonders schwere Verläufe, die meist einer immunmodulierenden Therapie (IMT) bedürfen, treten bei einer Uveitis auf, die die hinteren Teile des Auges oder das ganze Auge betreffen und nicht infektiöser Ursache sind. Für diese Formen der Erkrankung gibt es nur wenig gute Evidenz zum langfristigen Management der Erkrankung und insbesondere zur Beendigung oder Reduktion einer IMT. Das Treatment exit Options For non-infectious Uveitis (TOFU) Register der Sektion Uveitis der Deutschen Ophthalmologischen Gesellschaft (DOG) hat das Ziel, Krankheitsverläufe von Patienten mit nicht-infektiöser nicht-anteriorer Uveitis zu dokumentieren und Empfehlungen zur Beendigung einer IMT zu erarbeiten. Ein wesentlicher Aspekt des TOFU-Registers ist die aktive Einbeziehung von Patienten in die Erfassung Patienten-berichteter Endpunkte über ein Patientenmodul (Patient Reported Outcomes, PROs). Neben seh- und gesundheitsbezogener Lebensqualität werden auch Fragebögen zur Therapieadhärenz, Produktivität und Auswirkungen der Therapien eingesetzt. Die eingesetzten Fragebögen wurden in dieser Kombination in einer Pilotstudie mit Patienten getestet und es hat sich gezeigt, dass die wesentlichen Patienten-relevanten Aspekte der Erkrankung und deren Auswirkungen auf den Alltag erfasst werden. Das Patientenmodul, wie das Register selbst, nutzt zur Dokumentation die electronic data capture (EDC)-Software REDCap (Version 9, Vanderbilt University, USA). Durch die Einbindung von Patienten in sowohl die Konzeption des Registers als auch die fortlaufende Datensammlung wird sichergestellt, dass Patienten-relevante Evidenz für z. B. die Erstellung von Leitlinien und Behandlungsempfehlungen generiert wird.
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Danková, Sabina. "Obraz matky v zrkadle korešpondencie Judity Balassovej v 2. polovici 17. storočia." Theatrum historiae 35 (December 9, 2024): 29–45. https://doi.org/10.46585/th.2024.35.02.

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The early modern society, usually considered to be patriarchal, determined precise roles for women, who were defined by requirements based mainly on their position in the private sphere. In their family, they assumed the roles of daughters, sisters, mothers, wives, widows, grandmothers, etc. This paper focuses on the role of the mother in early modern society by analysing the correspondence of the Koháry family. For this purpose, the epistolar communication between Judith Balassa (c. 1630–c. 1685), the widow of Stephen I. Koháry (1616–1664), and her eldest son Stephen II. Koháry (1649–1731) has been studied. The correspondence was written during two important periods in the life of the Koháry family. The first was during the studies of Stephen II. Koháry in Vienna after the death of his father in 1664, followed by his accession to the post of the captain-general of Fiľakovo, which he held until his capture by Imrich Thökoly in September 1682. The paper examines the manifestations of maternal care and the understanding of this role, as derived from the correspondence between mother and son, in the context of their early modern¨ conception.
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Miller, Steven D., Cynthia L. Combs, Stanley Q. Kidder, and Thomas F. Lee. "Assessing Moonlight Availability for Nighttime Environmental Applications by Low-Light Visible Polar-Orbiting Satellite Sensors." Journal of Atmospheric and Oceanic Technology 29, no. 4 (2012): 538–57. http://dx.doi.org/10.1175/jtech-d-11-00192.1.

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Abstract The next-generation U.S. polar-orbiting environmental satellite program, the Joint Polar Satellite System (JPSS), promises unprecedented capabilities for nighttime remote sensing by way of the day/night band (DNB) low-light visible sensor. The DNB will use moonlight illumination to characterize properties of the atmosphere and surface that conventionally have been limited to daytime observations. Since the moon is a highly variable source of visible light, an important question is where and when various levels of lunar illumination will be available. Here, nighttime moonlight availability was examined based on simulations done in the context of Visible/Infrared Imager Radiometer Suite (VIIRS)/DNB coverage and sensitivity. Results indicate that roughly 45% of all JPSS-orbit [sun-synchronous, 1330 local equatorial crossing time on the ascending node (LTAN)] nighttime observations in the tropics and midlatitudes would provide levels of moonlight at crescent moon or greater. Two other orbits, 1730 and 2130 LTAN, were also considered. The inclusion of a 2130 LTAN satellite would provide similar availability to 1330 LTAN in terms of total moonlit nights, but with approximately a third of those nights being additional because of this orbit’s capture of a different portion of the lunar cycle. Nighttime availability is highly variable for near-terminator orbits. A 1-h shift from the 1730 LTAN near-terminator orbit to 1630 LTAN would nearly double the nighttime availability globally from this orbit, including expanded availability at midlatitudes. In contrast, a later shift to 1830 LTAN has a negligible effect. The results are intended to provide high-level guidance for mission planners, algorithm developers, and various users of low-light applications from these future satellite programs.
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Ilyushin, Boris A. "The Serving Tatars in the military activities of Russia in 1618–1634." Golden Horde Review 10, no. 3 (2022): 693–714. http://dx.doi.org/10.22378/2313-6197.2022-10-3.693-714.

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Research objectives: The purpose of our research is to consider the participation of Russian serving Tatars in the military activities of the Russian Kingdom in 1618–1634, a period dating from Deulin armistice to the end of the Smolensk War (1632–1634). Research materials: The study is based on the data found in “Razr’ad” books and va­rious documentary material. Results and novelty of the research: The participation of serving Tatars in the mobilization activities and military actions of this period allows us to determine their place in the armed forces of the Russian state during years that saw the slow restoration of military potential that had decreased during the Time of Troubles. Serving Tatars, like other categories of serving peoples, served mainly in “halves,” moving in shifts among frontier cities and districts cities where troops were stationed in case of an attack by the Crimean Tatars, Nogais, or Poles. The analysis of the sources here allows us to determine the approximate number of serving Tatars, the range of their combat missions, and the list of Tatar serving corporations. According to such documents,strengths ranging from 2204 to 2947 Tatars appear in military service at the same time, and their number increases over time. By the Smolensk War of 1632–1634, the consequences of the Time of Troubles had not yet been surmounted. For this reason, many serving peoples could not go into service because of poverty, or they deserted because of it. Owing to this, it is difficult to determine the exact number of serving Tatars who took part in the war; apparently, some city corporations of Tatars did not participate in it although they were listed in the military estimates. Military operations were reduced mainly to the siege of Smolensk by the Russian army, followed by the Polish attack on the city. The serving Tatars, like the boyar children, were engaged in the searching out and capture of “tongues” (prisoners of war). The Tatars who remained in their district cities and at home, like other serving peoples, were mobilized into a new army in the autumn of 1633. However, it did not have time to help the siege contingent at Smolensk which capitulated in February 1634, suffering significant losses. The scientific novelty of our research is that it for the first time in historiography, this work examines in detail the participation of the serving Tatars in the military activities of the Russian Kingdom in 1618–1634 and makes a number of conclusions about their contribution to the defense of the Moscow state.
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Usachev, Andrej S. "Who Was Patriarch Joasaphus (1634–40) in His Worldly Life?" Herald of an archivist, no. 3 (2023): 651–62. http://dx.doi.org/10.28995/2073-0101-2023-3-651-662.

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The article is devoted to the patriarch Joasaphus I’s (1634–40) origin and status in worldly life. Earlier he was the abbot of the Pskov-Caves Monastery (1621–27) and the Pskov archbishop (1627–34). Joasaphus became the metropolitan after the death of Philaret (Romanov) (1619–33). The researchers noted that they had a close relationship. The only earlier known historical source informing of Joasaphus’s origin is the Chronograph of the Astrakhan archbishop Pachomius (mid-17th century). It reports that Joasaphus was a descendant of servitors of Boyar scions (deti boyarskie). His parents’ names in religion (Julia and Bogolep) are known to researchers from the Synodic of the Cornelius Komelski monastery. The author of the article has managed to find new data. Synodic of the Yaroslavl Transfiguration of the Savior Monastery notes Joasaphus’s secular name: Ivan Borisov, son of Tonky (the Thin). The author has also established that, prior to taking his monastic vows (1609), Ivan made a donation (a 16th century manuscript) to the Siya Monastery of St. Antonius to commemorate his parents. In 1601–05 Philaret lived in this monastery in exile. Ivan’s father, Boris (Bogolep), might have lived in this monastery with him. The record of donation mentions Ivan’s status: he was a Boyar scion of the Rostov metropolitan Philaret. Considering absence of the names of Ivan and his father in the list of servitors of the Rostov metropolitan’s house (1591/92), the author supposes that Ivan had been connected with Philaret before the latter became the Rostov metropolitan. Probably he was a servitor of the Romanovs (aristocrats like Fedor Nikitich Romanov had a lot of them). Ivan might have taken the monastic vows in the Solovetsky monastery (ca. 1611-12) after his overlord Philaret had been captured by the Poles. After his returning in Moscow thanks to his relationship with Philaret, Joasaphus made a successful church career. Ivan/Joasaphus’s interest in books might have been instrumental in this. His donation to the monastery was not typical for a representative of service class people. As a rule, they donated the Gospel, Psalter, Menaion to churches and monasteries. Ivan possibly inherited his interest in books from his father. The Gift book of the Siya Monastery of St. Antonius informs that monk Bogolep (probably, the father of the future patriarch) gave no less than 6 books to the monastery in late 16th century. The research is based on the colophons, Synodics, Commemoration books of the Russian monasteries.
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Leonard, Joshua L., Will M. Inselman, Lora B. Perkins, Troy W. Grovenburg, Duane J. Lammers, and Jonathan A. Jenks. "Capturing Neonatal Bison With a Net Gun From a Utility Terrain Vehicle." Journal of Fish and Wildlife Management 8, no. 1 (2017): 255–59. http://dx.doi.org/10.3996/092016-jfwm-076.

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Abstract Monitoring neonatal bison Bison bison for daily survival is difficult without a proper technique to effectively capture and safely handle neonates. Currently, we are not aware of an effective method to capture neonatal bison. In May 2015, we initiated a study on Olson's Bison Conservation Ranches, Pine River, Manitoba, Canada, to evaluate a new approach to effectively capture and handle neonate bison. We captured bison neonates by using a modified .308 caliber net gun deployed from a utility terrain vehicle. We successfully captured and radio-tagged 10 male and 16 female neonate bison in 37 attempts (70.3% success). Over a period of 4 d, 16.0 labor h were spent pursuing and handling neonates, with an average capture rate of one bison neonate for every 0.6 labor h. Average handling time of bison neonates was 3.7 ± 1.6 min and ranged from 1.0 to 7.5 min. Results of our study indicate that our approach was effective and efficient for capturing and handling bison neonates safely. No injuries or capture related mortalities were observed throughout the handling and monitoring period. This technique will allow biologists and herd managers to capture neonates, monitor their survival, and collect cause-specific data on mortality of neonates in managed bison populations.
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Thijssen, Lucia G. A. "'Divcrsi ritratti dal naturale a cavallo' : een ruiterportret uit het atelier van Rubens geïdentificeerd als Ambrogio Spinola." Oud Holland - Quarterly for Dutch Art History 101, no. 1 (1987): 50–63. http://dx.doi.org/10.1163/187501787x00033.

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AbstractThe closeness of a work from Rubens' studio in the English Royal Collection, known as Equestrian Portrait of a Knight of the Golden Fleece (Fig. I, Note 1), to two equestrian portraits painted by Van Dyck during his stay in Genoa, from 1621 to 1626 (Figs. 2, 3, Note 2) has led to the identification of the sitter. A number of other pictures from the circle of Rubens and Van Dyck show horses and/or riders in related poses and the dates on some of them reveal them to have been painted before Van Dyck's portraits. This applies to The Riding School by or after Rubens, which is generally dated 1610-12 (Fig. 4, Note 3), a Paradise Landscape by Jan Brueghel of 1613 (Note 4) and Sight dated 1617 by the same artist (Fig.5, Note 5), which features a horseman known as Archduke Albert. A number of undated paintings inspired by the same model include six supposed to be of Archduke Albert (Notes 6, 10), three by Casper de Crayer (Fig. 6, Note 13) and eguestrian portraits of Louis XIII (Note 14) and Ladislaw IV of Poland. Thus it seems likely that these followers of Rubens', Van Dyck included, based themselves on one and the same equestrian portrait by their teacher. Since Van Dyck almost certainly painted the two equestrian portraits in Genoa during his stay in that city, his model or a replica of it must also have been there between 1621 and 1626. In fact, probably at the request of his patrons (Note 17), he often used models by Rubens, who had worked in Genoa for a time in 1606 (Note 16). However, his two equestrian portraits are not based on the only Genoese one by Rubens now known, that of the Marchese Doria (Fig. 7, Note 18), which is very different and has a liveliness quite, unlike Van Dyck's quiet static compositions. The equestrian portrait in the English Royal Collection was bought by George I in 1723 as a Rubens. The sitter is clad in the Spanish costume of the early 17 th century while the towers in the background could be those of Antwerp (Note 36). The sitter has been identified as the Archduke Albert, but he actually bears no resemblance to other portraits of the Archduke, who was also much older than this at the time of Ruberas' stay in Genoa in 1606. The most likely candidate is Ambrogio Spinola (Note 32) , the statesman and general, of whom both Rubens and Van Dyck painted more than one portrait. Spinola was commander of the Spanish troups in the Southern Netherlands, a friend of Rubens and Knight of the Golden Fleece, and he also came from Genoa, where this portrait could have been painted during a visit he made to the city in 1606 (Notes 33, 34). Stylistically too the portrait seems to fit in with the series of portraits painted by Rubens in Genoa in that year. The physiognomy of the sitter is certainly close to that of the known portraits of Spinola (Figs. 8-1, Note 35), while the details of Spinola's life also support the identification. Spinola (1569-1630), who was Marquis of Sesto and Venafro, belonged to one of the group of closely related, families of bankers who held key positions in Genoa. He arrived in the Netherlands around 1602 at the head of a large and unusually well-trained body of troops. In 1603 he provided funds to prevent a mutiny among the Spanish troups and after his capture of Ostend in 1604 he was appointed second in command to Archduke Albert. He was made a Knight of the Golden Fleece on I March 1605 and in the same year he was put in charge of military finances. From 1606 until his departure for Spain in 1628 he was superintendent of the military treasury and' mayordomo mayor' to the Archdukes Albert and Isabella. After the death of Albert in 1621 he became principal adviser to Isabella and thus the most powerful man in the Spanish Netherlands. His amiable character brought him many friends, even among the ranks of the enemy, notably the Princes Maurice and Frederick Henry, with whom he had a great deal of contact during the Twelve Years Truce. It was probably one of them who bought the Portrait of Spinola by Van Miereveld (Fig. 8). After a disappointing mission to Spain in 1628, Spinola was relieved of his command of the Army of Flanders and put in charge of the Spanish troups in Lombardy. He died in his castle in Piedmont in 1630. During the years 1603-5 and later Spinola made several visits to Madrid, where he will undoubtedly have met the powerful Duke of Lerma and probably also seen the equestrian portrait that Rubens painted of him in 1603 (Fig. 12, Note 39). He must also have known of the portraits Rubens painted in Genoa in 1606, since at least three and probably five of them are of members of the Spinola family, while there survives a letter to Rubens from Paolo Agostino Spinola on the subject of portraits (Note 40). All this makes it likely that Spinola would have had his own Portrait painted too and that Rubens may well have painted his first portrait of the man who was to become his lifelong friend as early as 1606. Although Rubens was sometimes irritated by Spinola's lack of interest in his work (Note 41) , he admired him greatly (Note 42). He cultivated Spinola's friendship after his return to Antwerp in 1608 and will doubtless have introduced Van Dyck to him. Van Dyck later painted more than twenty pictures for the five Spinola palaces (Note 43) in Genoa and his work also became known in Madrid via Spinola and his son-in-law Don Diego Felipez Messia Guzman de Legañes, who owned many works by Van Dyck (Note 44). The presumed equestrian portrait of Spinola was much copied, as were other portraits of him by Rubens. Spinola was admired all over Europe and that may have been why other commanders and princes wanted to have themselves portrayed in the same way. The original or a replica may have hung in Spirtola's palace in Brussels, where the first to have seen it would have been Archduke Albert, which may explain the many equestrian portraits of him by Rubens' followeers which were based on it. Another possibility is that Rubens himself may have painted an equestrian portrait of the Archduke very similar to that of Spinola around 1610, but that this is no longer known. Caspar de Crayer of Brussels, a friend, though not a pupil of Rubens, was also influenced by the Spinola equestrian portrait. Furthermore, when he was invited to paint a set of equestrian portraits for the Huis ten Bosch, he sent the young Antwerp painter Thomas Willeboirts Bosschaert to The Hague in his place (Note 46) and it was in this way that Rubens' model came to the Northern Netherlands, where it was copied only once, by Isaac Isacsz. in his equestrian portrait of William the Silent (Note 47). The equestrian portrait of Sigmund III of Poland (Fig. 13), a cousin of Archduke Albert, could also have been painted in Van Dyck's studio in Genoa, which was probably visited by his son Prince Ladislaw in 1624 (Note 48). This picture too still owes much to Rubens' model which Van Dyck used again ten years later for his equestrian portraits of Charles I of England (Fig. 14, Note, 50) and Francisco de Moncada (Note 51).
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Dissertationen zum Thema "Capture, 1630"

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Cunha, Virginia Silva da. "Uma abordagem orientada a serviços para captura de métricas de processo de desenvolvimento de software." Pontifícia Universidade Católica do Rio Grande do Sul, 2006. http://hdl.handle.net/10923/1639.

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Made available in DSpace on 2013-08-07T18:43:22Z (GMT). No. of bitstreams: 1 000400971-Texto+Completo-0.pdf: 3124182 bytes, checksum: 9b0e8cc34e680328d6c7483573e46652 (MD5) Previous issue date: 2006<br>Software organizations work with several software projects that differ in terms of both the management tools used and the way tracking metrics are stored and controlled. Thus, the lack of a central data repository poses difficulties for the traking of Software Development Processes (SDPs) in these organizations. One of the crucial steps of the Knowledge Discovery in Databases Process is the process of Extraction, Transformation and Load (ETL). ETL aims to transform the raw data extracted from different fonts into consistent, reliable information. Considering the SDPs specificities, this study was carried out in the real computional environment. It was observed that the tools used range from spreadsheets (e. g. MS Excel) to control tools for the execution of project activities (e. g. MS Project Server, IBM Rational Clear Quest, Bugzilla). Different SDP models with a distinct life cycle for each project are also used, which result in completely different ways to register these projects even when using the same tool. Another problem is that each of those tools has an own data model that does not follow defined data representation standards. Therefore, the extraction of those data becomes a challenging goal to achieve, raising the complexity of ETL processes. The model proposed in this study introduces a two-integrated approach to deal with the problem: 1) a non intrusive way of data extraction, taking several types of heterogeneities into account, 2) the transformation and integration of these data, providing a unified and quantified organizational view of the projects. These aspects are treated using a serviceoriented architecture. This service oriented architecture tries to deal with several types of heterogeneity, from both the technical (e. g. different tools) and organizational standpoint (e. g. Organization’s Standard Software Process Standard specializations that result in distinct ways to develop and register project facts). This heterogeneity is conveniently treated through services that work as wrappers of the different types of extractors and through the support of a distributed development environment. For the evaluation of the proposed approach, three examples that consider all heterogeneity issues (different types of projects, different life cycles, different management models and several management support tools) were developed.<br>As organizações de software trabalham com diversos projetos de software que se diferenciam tanto pelas ferramentas de gestão utilizadas quanto pela forma que armazenam e controlam suas métricas de acompanhamento. Sendo assim, a inexistência de um repositório centralizado de dados dificulta o acompanhamento dos Processos de Desenvolvimento de Software (PDSs) dessas organizações. Uma das etapas mais cruciais do Processo de Descoberta de Conhecimento em Banco de Dados é o processo de Extração, Transformação e Carga (ETC), pois este tem como finalidade a transformação dos dados brutos, extraídos de diversas fontes, em informações consistentes e de qualidade. Considerando que os PDSs possuem suas especificidades, realizou-se um estudo em um ambiente real e verificou-se que, em termos de ferramentas, são utilizadas desde planilhas eletrônicas (e. g. MS Excel) até ferramentas para controle da execução de atividades de projetos (e. g. MS Project Server, IBM Rational Clear Quest, Bugzilla). Detectou-se ainda o uso de diferentes modelos de PDS, com ciclos de vida variados para projetos distintos, que se traduzem em formas totalmente diversas de registrar estes projetos, ainda que na mesma ferramenta. Outro problema é que cada uma dessas ferramentas possui um modelo de dados próprio, que não segue padronizações estabelecidas de representação de dados, dificultando assim a extração desses dados. Por conseqüência, o grau de complexidade do processo de ETC, para esta organização, é muito alto.O modelo proposto neste trabalho tem por mérito tratar, de forma integrada, dois aspectos: 1) a coleta de dados dos projetos de forma não intrusiva, levando em consideração vários tipos de heterogeneidade, 2) a transformação e integração desses dados, proporcionando uma visão organizacional unificada e quantitativa dos projetos. Esses aspectos são tratados utilizando uma arquitetura orientada a serviços. A abordagem orientada a serviços busca lidar com vários tipos de heterogeneidade, tanto do ponto de vista organizacional (e. g. especializações do Processo de Software Padrão da Organização (OSSP – Organization’s Standard Software Process) que resultam em formas distintas de desenvolvimento e registro de fatos sobre projetos), quanto do ponto de vista técnico (e. g. diferentes ferramentas). Essa heterogeneidade é convenientemente tratada através de serviços que atuam como wrappers dos diferentes tipos de extratores, que suporta um ambiente distribuído de desenvolvimento. Para avaliação da abordagem proposta, foram desenvolvidos três exemplos, que consideram todas essas questões de heterogeneidade: diferentes tipos de projetos, diferentes ciclos de vida, diferentes modelos de gerenciamento e diversas ferramentas de apoio ao acompanhamento.
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Oudet, Jean-Philippe. "Architecture distribuée pour la détection d'activité dans un Espace Intelligent." Mémoire, Université de Sherbrooke, 2011. http://savoirs.usherbrooke.ca/handle/11143/1634.

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La présente étude porte sur la capacité d'améliorer la détection des Activités de la Vie Quotidienne, AVQ (ou ADL :"Activity of Daily Life") par l'utilisation de capteur [i.e. capteurs] de mouvements portés par l'occupant d'un habitat intelligent. Les données provenant de ces capteurs devraient fusionner avec les informations issues de l'appartement pour donner une information plus pertinente par le principe de synergie [21]. La solution choisie pour le dispositif porté par la personne est l'innovation principale du projet : un réseau de capteurs disposés à plusieurs endroits sur le corps, communicant sans fil entre eux et avec le contrôle de l'appartement. Les données extraites sont le mouvement relatif du corps, et plus spécifiquement des mains et du tronc, par rapport à la verticale. De par les propriétés de ces éléments - nécessairement petits, discrets - des MEMS seront utilisés pour satisfaire ces critères. Le projet repose sur la conception des dispositifs embarqués sur l'occupant dans l'optique d'en étendre les fonctionnalités à d'autres analyses tels [i.e. telles] que le son, la position dans l'environnement, le statut médical, etc. Pour prouver la faisabilité, des capteurs externes seront ajoutés pour compléter les informations de base et donc étendre la qualité des inférences sur les activités en cours. Le mouvement est une donnée facilement détectable de par sa relative simplicité de mise en oeuvre et il fournit une bonne base de travail pour étudier de façon systématique les différents points clés de l'étude : la communication, la synergie des informations, l'analyse des activités, etc.
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Rebrion, Christiane. "Étude par la méthode CRESU de la cinétique de réactions ion-molécules entre 8 K et 163 K : comparaison avec des théories de capture." Paris 11, 1987. http://www.theses.fr/1987PA112393.

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La méthode CRESU a été utilisée pour étudier dans le domaine 8K-163K diverses réactions entre un ion (le plus souvent monoatomique) et une molécule choisis pour leur intérêt fondamental ou astrophysique. La plus grande partie de ce travail porte sur des réactions rapides dont le comportement est lié à des forces intermoléculaires de longue portée. Sur le plan fondamental, on a mis en évidence l'influence du moment dipolaire sur la constante de vitesse : elle augmente lorsque le moment dipolaire croit et que la température diminue. Ce comportement était prévu par les diverses théories de capture qui ont été confrontées à l'expérience. En ce qui concerne le moment quadripolaire si les prédictions sont qualitativement identiques aucune variation de la constante de vitesse avec la température n'a pu être observée. Le taux de Langevin en reste une bonne approximation. Deux autres réactions de comportement différent ont été étudiées. La réaction entre N+ et l'hydrogène para est importante sur le plan astrophysique. Nous avons mesuré les vitesses de réaction avec de l'hydrogène normal para et les isotopes HD et D2. En tenant compte de la population rotationnelle du neutre et de celle de structure fine de N+, on a trouvé que l'endothermicité de la réaction N+(3P0) + H2 (J = 0)→NH+ +H était comprise entre 18. 2 et 19. 2 meV, ce qui permet le calcul précis de l'énergie de liaison de NH+. La réaction N2+ + 02 est lente à température ambiante. Une augmentation considérable de la réactivité a été observée à basse température, avec une limite supérieure proche de la vitesse de capture. En conclusion, quelques implications générales pour le choix des vitesses de réaction dans les modèles astrophysiques ont été dégagées.
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Rebrion, Christiane. "Etude par la méthode CRESU de la cinétique de réactions ion-molécules entre 8 K et 163 K comparaison avec des théories de capture /." Grenoble 2 : ANRT, 1987. http://catalogue.bnf.fr/ark:/12148/cb37609238s.

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MCCORMACK, Danielle. "Protestant political culture in Ireland, 1660-1667 : the discourse and capture of power." Doctoral thesis, 2013. http://hdl.handle.net/1814/29617.

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Defence date: 17 December 2013<br>Examining Board: Professor Martin van Gelderen, University of Göttingen (EUI Supervisor); Professor Robert Armstrong, Trinity College Dublin (External Supervisor); Prof Jonathan Scott, University of Auckland; Professor Ann Thomson, European University Institute.<br>PDF of thesis uploaded from the Library digital archive of EUI PhD theses<br>Studies of Ireland in the 1660s invariably focus on the mechanisms of the land settlement. This was the process by which property rights were settled under the Stuarts following the programme of confiscation and transplantation that had been implemented during the Protectorate. This thesis is a study of the political processes that accompanied and determined the Stuart settlement. It complements works that delineate the land settlement while providing an original contribution to the political history of the period. The Stuart Restoration ushered in a period of instability for Irish Protestants and their tenure of power in the kingdom as regime change brought challenges to the moral and legal basis of power that had been established under the preceding government. Catholic challenges to Protestant power have been examined, demonstrating the importance of understandings and ideas to the justification of power. Catholics formulated legal and moral arguments against the continued dominance of Protestants in the kingdom, thereby undermining the idea that Protestant power was the rightful outcome of a war in which they had been persecuted and in which Catholics had behaved treacherously. Meanwhile, physical clashes between members of the two confessional groups were imagined as the continuation of the war of the 1640s and 1650s. The manner in which Protestant identity was promoted proved a challenge to royal authority as Protestants insisted that governance be rooted in their understandings of the recent past. This past was promoted as the victory of the 'English', leaving little room for veneration of the role of a king whose presence on the throne had not been necessary to English triumph. The king was called upon to officially sanction and adopt the attributes of the 'English in Ireland' and his reluctance to do so proved contentious. The hostilities which were aroused led to political dissidence in the context of wider 'anti-popish' and anti-monarchical sentiment in Britain and this thesis explores the manner in which general concerns could be expressed through rivalries over land in Ireland. This thesis is a study of the symbiotic relationship between ideas and actions in the 1660s. It shows that Ireland was a battleground for competing conceptions of society and history and that it proved an early site of conflict for the restored regime.
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Zhuo, Yi-Xing, and 卓宜興. "The Analysis of 163 Neoplasms in Captive Wild Mammals, Birds and Reptiles." Thesis, 2004. http://ndltd.ncl.edu.tw/handle/xfcw7z.

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碩士<br>國立臺灣大學<br>獸醫學研究所<br>92<br>In contrast to the abundant information available on neoplasm in human and domestic animals, little information is available on neoplasm of captive wild animals. Most tumor studies for wildlife had been restricted to a single species or single tumor. A large scale of wildlife tumors has not been studied much yet. The objectives of the investigation were to establish database for wildlife neoplasm and provide references for wildlife medicine and a model for comparative oncology. In this study, all tumor cases of mammals, birds, and reptiles died at Taipei Zoo from years 1994 through 2003 have been collected. Routine histopathology and immunohistochemistry were employed to study tumor classification. Additional data of species, sex, age, site and type of tumors were analyzed together. A total of 2,657 necropsied cases, including 1,335 mammals, 873 birds and 449 reptiles were obtained. One hundred and sixty-three tumors of various types were diagnosed in 150 captive wild animals; and detected in mammals, birds and reptiles at rates of 8.1 % (108/1,335), 4.2 % (37/873) and 1.1 % (5/449), respectively. The neoplasms most frequently found among mammals originated from skin and soft tissue (22.0 %, 26/119), next was hepatic tissue (17.0 %, 20/119) and followed by hemolymphatic system (13.4 %, 16/119). Skin and soft tissue tumors were most frequent mammalian neoplasm and similar to the neoplasia found in the domestic animals. The most prevalent avian neoplasm was lymphosarcoma (33.3 %, 13/39). The relatively high incidence of avian neoplasm of lymphosarcoma suggests possible causes of the avian leucosis virus and Marek’s disease virus. Five individual neoplasms occurred in different reptilian species. The prevalence of malignant tumors was 64.0 % greater than that of the benign tumors 36.2 %. These results suggest that most wild animals may die from malignant tumors associated with cachexia and organ dysfunction. Causes and risk factors of wild animal neoplasma remain undetermined.
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Bücher zum Thema "Capture, 1630"

1

Murray, Graeme I., ed. Laser Capture Microdissection. Humana Press, 2011. http://dx.doi.org/10.1007/978-1-61779-163-5.

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Roberts, Penny. Prisoners of war c.1300-1600: Capture, custody and cost. University of Birmingham, 1986.

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Haboush, JaHyun Kim, and Kenneth R. Robinson, eds. A Korean War Captive in Japan, 1597-1600. Columbia University Press, 2013. http://dx.doi.org/10.7312/habo16370.

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Kyle, Barbara. The queen's captive. Canvas, 2013.

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Turnbull, Stephen R. The samurai capture a king: Okinawa, 1609. Osprey, 2009.

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Irwin, Margaret. Elizabeth, captive princess: Two sisters, one throne. Sourcebooks Landmark, 2010.

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1730-1810, Johnson Mrs, and Steele Zadock 1758-1845, eds. Indian narratives: Containing a correct and interesting history of the Indian wars, from the landing of our pilgrim fathers, 1620, to Gen. Wayne's victory, 1794 : to which is added a correct account of the capture and sufferings of Mrs. Johnson, Zadock Steele, and others : and also a thrilling account of the burning of Royalton. Tracy, 1985.

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1730-1810, Johnson Mrs, and Steele Zadock 1758-1845, eds. Indian narratives: Containing a correct and interesting history of the Indian wars, from the landing of our pilgrim fathers, 1620, to Gen. Wayne's victory, 1794 : to which is added a correct account of the capture and sufferings of Mrs. Johnson, Zadock Steele, and others : and also a thrilling account of the burning of Royalton. Tracy, 1985.

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Beardsley, Martyn. Charles II and his Escape into Exile: Capture the King. Pen and Sword History, 2020.

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Haboush, JaHyun Kim, and Kenneth Robinson, eds. A Korean War Captive in Japan, 1597-1600. Columbia University Press, 2013. http://dx.doi.org/10.7312/columbia/9780231163705.001.0001.

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Buchteile zum Thema "Capture, 1630"

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Bastert, Bernd, Florian Fleischmann, and Johannes Klaus Kipf. "Online-Repertorium Deutsche Antikenübersetzung 1501–1620/Online Repertory of German Translations of Classical Antiquity 1501–1620." In Übersetzungskulturen der Frühen Neuzeit. Springer Berlin Heidelberg, 2025. https://doi.org/10.1007/978-3-662-70483-7_5.

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Abstract This chapter presents the ORDA16 project, which aims to provide a complete repertory documenting the transmission of translations of ancient Latin and Greek literature into German between 1501 and 1620. The repertory captures for the first time the exact quantity of texts written in classical and late antiquity (until c.600 AD) that were translated in the German-speaking countries in the period of Humanism and the Reformation. These translations of ancient works mark the starting point of the cultural practice of translation which became pivotal for early modern culture. Information about the translations will be presented in an openly accessible, persistent relational data base which can be searched by categories such as author, title, translator, contributor, dedicatee, place of publication, printer, publisher, and year of publication.
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Barazzutti, Roberto. "La guerre de course néerlandaise dans les Antilles au xviie siècle." In Les Européens et les Antilles. Presses universitaires de Rennes, 2019. https://doi.org/10.4000/13se7.

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À la fin du xvie siècle, les Néerlandais naviguent de façon continue et régulière dans l’Atlantique vers les côtes africaines et américaines. Cette navigation couple des activités commerciales à des actions de guerre de course (kaapvaart, commissievaart) menée par des acteurs privés avec le soutien des autorités, dans le cadre de la guerre économique menée contre l’Empire ibérique. Les rois d’Espagne ne sont cependant pas inactifs et réagissent de façon violente, renforçant l’intérêt des Pays-Bas pour le couplage guerre de course et commerce interlope. La trêve de 1609 n’interrompt que faiblement cette présence néerlandaise. La reprise de la guerre en 1621 va conduire en un changement majeur avec la création de la WIC, Compagnie commerciale ayant des prérogatives régaliennes. Acteur majeur des années 1621-1660, elle arme de nombreuses expéditions militaro-corsaires dans le cadre de son plan « Het Groote Desseyn ». Le zénith a lieu en 1628 avec la capture des navires du Honduras et de la flotte de Nouvelle-Espagne par Ita et Hein. C’est l’époque aussi où des corsaires ou aventuriers d’armements privés agissent avec des autorisations de la WIC ou des autorités, attaquant par exemple Campêche dès 1633, annonçant ce qui deviendra la flibuste. Les débuts de la colonisation dans les Antilles permettent d’établir des bases utiles pour les expéditions et armements futurs, comme Curaçao. Les guerres avec la France et l’Angleterre conduisent à un changement dans l’activité corsaire. La WIC ne va plus jouer qu’un rôle mineur suite à sa faillite en 1674 et son changement d’orientation dans le commerce et la traite. La guerre de course néerlandaise, qui reste encore à découvrir par des recherches dans les archives étrangères ou notariées, se caractérise par des armements locaux ou en provenance de la Zélande, dont l’utilité est primordiale pour les colonies néerlandaises dans la défense de celles-ci et leur ravitaillement.
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Brahm, Taiga, and Ute Grewe. "Entrepreneurial Competencies in Student Companies at School: Development of a Research Instrument." In FGF Studies in Small Business and Entrepreneurship. Springer International Publishing, 2023. http://dx.doi.org/10.1007/978-3-031-28559-2_8.

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AbstractEntrepreneurial competencies are increasingly relevant and thus fostered in schools and universities, for instance, in the form of student companies. However, there are hardly any theoretically and empirically founded research instruments to assess students’ competence development. Accordingly, this paper aims to develop and validate a newly designed questionnaire that captures entrepreneurial competencies in three different domains: on the economic, team, and individual levels. The instrument was tested in a pilot test with 163 students and in a main study with 226 students in secondary education. Overall, reliability and the assumed factor structure could be confirmed. The questionnaire can be used in schools and universities for the purpose of quality development and competence assessment in entrepreneurship education.
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Abulafia, David. "Encouragement to Others, 1650–1780." In The Great Sea. Oxford University Press, 2011. http://dx.doi.org/10.1093/oso/9780195323344.003.0039.

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In the course of the seventeenth century the character of the relationship between the European states changed dramatically, with important repercussions in the Mediterranean. Until the end of the Thirty Years’ War in 1648, Catholic confronted Protestant, and confessional identity was an issue of surpassing significance for the competing powers in Europe. After 1648, a greater degree of political realism, or cynical calculation, began to intrude. Within a few years, it was possible for the English arch-Protestant Oliver Cromwell to cooperate with the Spanish king, while English suspicion of the Dutch led to conflict in the North Sea. The character of English involvement in the Mediterranean changed: royal fleets began to intervene and the English (after union with Scotland in 1707, the British) sought out permanent bases in the western Mediterranean: first Tangier, then Gibraltar, Minorca and, in 1800, Malta. The period from 1648 to the Napoleonic Wars was marked, therefore, by frequent about-turns as the English switched from Spanish to French alliances, and as the whole question of the Spanish royal succession divided Europe and opened up the prospect of spoils from a declining Spanish empire in the Mediterranean. While Spain’s difficulties were obvious, it was less clear that the Ottomans had passed their peak: the Ottoman siege of Vienna in 1683 was unsuccessful, but in the Mediterranean Turkish galleys still posed a serious threat, and their Barbary allies could be relied upon to give support when naval conflict broke out. Even so, the Venetians managed to gain control of the Morea or Peloponnese for several years, and, interestingly, it was they who were the aggressors. Bolder than they had been for some time, the Venetians ambitiously aimed to crack Turkish power in the regions closest to their navigation routes. In 1685 and 1686 they captured and demolished a number of Turkish fortresses on either side of the Morea, culminating in the capture of Nafplion on 30 August 1686. This was only the prelude to an attempt to clean up the Dalmatian coast, starting with the Turkish base at Herceg Novi, which they captured in September 1687.
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Strong, Pauline Turner. "The Politics and Poetics of Captivity in New England, 1620–1682." In Captive Selves, Captivating Others. Routledge, 2018. http://dx.doi.org/10.4324/9780429501852-4.

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de Grazia, Margreta. "The “deceasèd I” of the 1609 Sonnets." In Shakespeare Without a Life. Oxford University PressOxford, 2023. http://dx.doi.org/10.1093/oso/9780198812548.003.0005.

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Abstract The only work by Shakespeare that expressly aspires to immortality is also the one that came closest to extinction. The “eternal lines” of the 1609 Sonnets were out of print for over a century and not fully incorporated into the canon until almost another had passed. During that long stretch, the sonnets were ensconced in an eclectic miscellany, John Benson’s 1640 Poems. Though discredited as spurious and corrupt by 1800, the sonnets in the 1640 format endured longer than in the authentic 1609 quarto. What gave the sonnets in their 1640 remake their power to endure? Certainly it was not the promise of access to the life of the poet. Through its distancing and generalizing rubrics, the edition rendered the 1609 Sonnets quite impersonal. How then did Benson’s Poems secure, at least for a time, a future for the sonnets? How did they capture what the Sonnets themselves presume: the literary attention of “ages yet unborn”?
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Miola, Robert S. "Robert Southwell." In Early Modern Catholicism. Oxford University PressOxford, 2007. http://dx.doi.org/10.1093/oso/9780199259854.003.0031.

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Abstract Brilliant and well born, Robert Southwell (1561–95) joined the Society of Jesus in 1578, and in 1586 he returned to England to minister to Catholics, including Philip Howard, imprisoned for his faith. He wrote an An Epistle of Comfort (1587) to all persecuted Catholics (see Consolations, instructions and devotions), and other works, notably Mary Magdalen’s Funeral Tears (1591), and a plea for tolerance, An Humble Supplication to Her Majesty (1595, pub. 1600–1). Southwell endured capture, imprisonment, and torture before his execution in 1595.
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Cromwell, Oliver. "1650 09 04b Cromwell’s list of prisoners captured at Dunbar." In The Letters, Writings, and Speeches of Oliver Cromwell, edited by Elaine Murphy, Micheál Ó Siochrú, and Jason Peachey. Oxford University Press, 2022. http://dx.doi.org/10.1093/oseo/instance.00287979.

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Hasanuzzaman Mohammed, Dias Gaël, and Ferrari Stéphane. "Transductive Learning for the Identification of Word Sense Temporal Orientation." In Frontiers in Artificial Intelligence and Applications. IOS Press, 2016. https://doi.org/10.3233/978-1-61499-672-9-1634.

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The ability to capture the time information conveyed in natural language is essential to many natural language processing applications such as information retrieval, question answering, automatic summarization, targeted marketing, loan repayment forecasting, and understanding economic patterns. In this paper, we propose a graph-based semi-supervised classification strategy that makes use of WordNet definitions or &amp;lsquo;glosses&amp;rsquo;, its conceptual-semantic and lexical relations to supplement WordNet entries with information on the temporality of its word senses. Intrinsic evaluation results show that the proposed approach outperforms prior semi-supervised, non-graph classification approaches to the temporality recognition of word senses, and confirm the soundness of the proposed approach.
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British Drama 1533–1642: A Catalogue. "2346: The Fair Spanish Captive." In British Drama 1533–1642: A Catalogue, Vol. 8: 1624–1631, edited by Martin Wiggins and Catherine Richardson. Oxford University Press, 2017. http://dx.doi.org/10.1093/oseo/instance.wiggins2346.

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Konferenzberichte zum Thema "Capture, 1630"

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Abdullatif, Yasser M., Ikhlas Ghiat, Riham Surkatti, Yusuf Bicer, Tareq Al-AnsarI, and Abdulkarem I. Amhamed. "Technoeconomic Analysis of a Novel Amine-Free Direct Air Capture System Integrated with HVAC." In The 35th European Symposium on Computer Aided Process Engineering. PSE Press, 2025. https://doi.org/10.69997/sct.119305.

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The increasing need for Direct Air Capture (DAC) technologies is driven by the urgent global need to mitigate rising CO2 levels due to climate change. In humid climates, DAC systems face challenges as high humidity increases the energy required for regeneration. This study introduces a novel DAC system integrated within an Air Handling Unit (AHU) that includes a silica gel wheel for air dehumidification before CO2 capture, significantly enhancing physisorbent performance by optimizing conditions for CO2 adsorption. This system, tailored for the AHU of Doha Tower, involves dehumidifying return air, subsequently cooling it for effective CO2 capture. The introduction of the silica gel wheel notably reduced the energy requirements by 81.5% for NbOFFIVE compared to configurations without dehumidification, and the thermal energy cost for NbOFFIVE when integrated with HVAC and silica gel is 70 USD/ tonCO2, compared to 160 USD/ tonCO2 for SBA-15 + TEPA used alone. Additionally, the thermal energy cost for the HVAC system was reduced from 430 USD/tonCO2 to 303 USD/ tonCO2. A technoeconomic analysis highlights these improvements as crucial for reducing operational costs and cutting capital expenditures by leveraging existing AHU infrastructure. Despite the higher initial cost of NbOFFIVE, the levelized cost for DAC using NbOFFIVE is estimated at 184 USD per ton of CO2, making it economically advantageous compared to 208 USD per ton for SBA-15.
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Miller, James. "Radiative pion capture as an alternative to pion photoproduction." In AIP Conference Proceedings Volume 163. AIP, 1987. http://dx.doi.org/10.1063/1.36934.

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Kovac, Neven, Felix Ahrens, Arnulf Barth, et al. "The Electron Capture in 163 Ho Experiment - a Short Update." In The European Physical Society Conference on High Energy Physics. Sissa Medialab, 2022. http://dx.doi.org/10.22323/1.398.0211.

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Martin, Mark V., and Kosuke Ishii. "Design for Variety: A Methodology for Understanding the Costs of Product Proliferation." In ASME 1996 Design Engineering Technical Conferences and Computers in Engineering Conference. American Society of Mechanical Engineers, 1996. http://dx.doi.org/10.1115/96-detc/dtm-1610.

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Abstract This paper further develops the previously introduced concept of Design for Variety (DFV). Our study seeks a tool that enables product managers to estimate the cost of introducing variety into their product line. This will help them to maximize market coverage while maintaining required profit margins. Variety incurs many indirect costs that are not always well understood or are difficult to capture. These costs are often not considered by people making the decision about introducing variety. Our DFV model attempts to capture these indirect costs through the measurement of three indices: commonality, differentiation point, and set-up cost. These indices will allow the decision makers to estimate some of the generally unmeasurable costs of providing variety. We conclude this paper by discussing our validation plans for testing the model in industry.
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Kurstak, Eric, and Kiran D’Souza. "An Experimental and Computational Investigation of a Pulsed Air-Jet Excitation System on a Rotating Bladed Disk." In ASME Turbo Expo 2020: Turbomachinery Technical Conference and Exposition. American Society of Mechanical Engineers, 2020. http://dx.doi.org/10.1115/gt2020-16301.

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Abstract Non-synchronous vibrations are a difficult problem to address for turbomachines due to the complex nature of the forcing. Such vibrations can be caused by vortex shedding, flow instabilities, stall cells, or flutter. Testing a design with such excitations can be difficult in practice due to the required forcing. This work demonstrates an experimental excitation method using pulsed air jet excitation to create non-synchronous vibrations in engine hardware rotating at nominal design speeds. Experimental runs were conducted to excite a number of engine orders. Blade tip timing was used to measure the blade response without interfering with the blade dynamics. The bladed disk was held at a constant rotational speed while the air jets were pulsed at a sweeping frequency to simulate rotating forcing. Computational models of the physical system were constructed using parametric reduced order models that incorporate the effects of rotational speed and small mistuning. The computational model was used in simulations that mimic the experiment; the forcing was swept across the blades while being pulsed. This results in a system response that cannot be captured using traditional harmonic analyses. The computational and experimental datasets were compared through mistuning values, amplitudes, and the nodal diameter content in the system response.
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Sment, Jeremy N., Mario J. Martinez, Kevin Albrecht, and Clifford K. Ho. "Testing and Simulations of Spatial and Temporal Temperature Variations in a Particle-Based Thermal Energy Storage Bin." In ASME 2020 14th International Conference on Energy Sustainability. American Society of Mechanical Engineers, 2020. http://dx.doi.org/10.1115/es2020-1660.

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Abstract The National Solar Thermal Test Facility (NSTTF) at Sandia National Laboratories is conducting research on a Generation 3 Particle Pilot Plant (G3P3) that uses falling sandlike particles as the heat transfer medium. The system will include a thermal energy storage (TES) bin with a capacity of 6 MWht¬ requiring ∼120,000 kg of flowing particles. Testing and modeling were conducted to develop a validated modeling tool to understand temporal and spatial temperature distributions within the storage bin as it charges and discharges. Flow and energy transport in funnel-flow was modeled using volume averaged conservation equations coupled with level set interface tracking equations that prescribe the dynamic geometry of particle flow within the storage bin. A thin layer of particles on top of the particle bed was allowed to flow toward the center and into the flow channel above the outlet. Model results were validated using particle discharge temperatures taken from thermocouples mounted throughout a small steel bin. The model was then used to predict heat loss during charging, storing, and discharging operational modes at the G3P3 scale. Comparative results from the modeling and testing of the small bin indicate that the model captures many of the salient features of the transient particle outlet temperature over time.
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Tom, Nathan M. "Revisiting Theoretical Limits for One-Degree-of-Freedom Wave Energy Converters." In ASME 2020 14th International Conference on Energy Sustainability. American Society of Mechanical Engineers, 2020. http://dx.doi.org/10.1115/es2020-1640.

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Abstract This work revisits the theoretical limits of one-degree-of-freedom wave energy converters. This paper considers the floating sphere used in the Ocean Energy Systems Task 10 Wave Energy Converter modeling and verification effort for analysis. Analytical equations are derived to determine bounds on the motion amplitude, time-averaged power, and power-take-off (PTO) force. A unique result was found that shows the time-averaged power absorbed by a wave energy converter can be defined solely by the inertial properties and radiation hydrodynamic coefficients. In addition, a unique expression for the PTO force amplitude was derived that has provided upper and lower bounds when resistive control is used to maximize power generation. For complex conjugate control, this same expression can only provide a lower bound, as there is theoretically no upper bound. These bounds are used to compare the performance of a floating sphere if it were to extract energy using surge or heave motion. The analysis shows that because of the differences in hydrodynamic coefficients of each oscillating mode, there will be different frequency ranges that provide better power capture efficiency. The influence of a motion constraint on power absorption while also utilizing a nonideal power take-off is examined and found to reduce the losses associated with bidirectional energy flow. The expression to calculate the time-averaged power with a nonideal PTO is modified by the mechanical-to-electrical efficiency and the ratio of the PTO spring and damping coefficients. The PTO spring and damping coefficients were separated in the expression, which allows for limits to be set on the possible values of PTO coefficients to ensure a net flow of power to the grid.
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Majoumerd, Mohammad Mansouri, Mohsen Assadi, and Peter Breuhaus. "Techno-Economic Evaluation of an IGCC Power Plant With Carbon Capture." In ASME Turbo Expo 2013: Turbine Technical Conference and Exposition. American Society of Mechanical Engineers, 2013. http://dx.doi.org/10.1115/gt2013-95486.

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Most of the scenarios presented by different actors and organizations in the energy sector predict an increasing power demand in the coming years mainly due to the world’s population growth. Meanwhile, global warming is still one of the planet’s main concerns and carbon capture and sequestration is considered one of the key alternatives to mitigate greenhouse gas emissions. The integrated gasification combined cycle (IGCC) power plant is a coal-derived power production technology which facilitates the pre-combustion capture of CO2 emissions. After the establishment of the baseline configuration of the IGCC plant with CO2 capture (reported in GT2011-45701), a techno-economic evaluation of the whole IGCC system is presented in this paper. Based on publicly available literature, a database was established to evaluate the cost of electricity (COE) for the plant using relevant cost scaling factors for the existing sub-systems, cost index, and financial parameters (such as discount rate and inflation rate). Moreover, an economic comparison has been carried out between the baseline IGCC plant, a natural gas combined cycle (NGCC), and a supercritical pulverized coal (SCPC) plant. The calculation results confirm that an IGCC plant is 180% more expensive than the NGCC. The overall efficiency of the IGCC plant with CO2 capture is 35.7% (LHV basis), the total plant cost (TPC) is 3,786 US$/kW, and the COE is 160 US$/MWh.
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Yang, H. J., D. W. Kang, J. H. Ahn, and T. S. Kim. "Evaluation of Design Performance of the Semi-Closed Oxy-Fuel Combustion Combined Cycle." In ASME Turbo Expo 2012: Turbine Technical Conference and Exposition. American Society of Mechanical Engineers, 2012. http://dx.doi.org/10.1115/gt2012-69141.

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This study aims to present various design aspects and realizable performance of the natural gas fired semi-closed oxy-fuel combustion combined cycle (SCOC-CC). Design parameters of the cycle are set up on the basis of component technologies of today’s state-of-the-art gas turbines with a turbine inlet temperature between 1400°C and 1600°C. The most important part in the cycle analysis is the turbine cooling which affects the cycle performance considerably. A thermodynamic cooling model is introduced to predict the reasonable amount of turbine coolant to maintain the turbine blade temperature of the SCOC-CC at the levels of those of conventional gas turbines. Optimal pressure ratio ranges of the SCOC-CC for two different turbine inlet temperature levels are searched. The performance penalty due to the CO2 capture is examined. Also investigated are the influences of the purity of oxygen provided by the air separation unit on the cycle performance. A comparison with the conventional combined cycle adopting a post-combustion CO2 capture is carried out taking into account the relationship between performance and CO2 capture rate.
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10

Salais, Clément, Christian Streicher, David Albarracin-Zaidiza, et al. "DMXTM Demonstrator for CO2 Capture: First Results of Experimental Campaign." In ADIPEC. SPE, 2022. http://dx.doi.org/10.2118/210973-ms.

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Abstract 3D Project, standing for DMX™ Demonstration Dunkirk, is a European funded project to demonstrate an innovative CO2 capture process at semi-industrial scale: DMX™. The 11 partners of this project gathered their forces to demonstrate the capture process and to study the CCS chain (capture, transport and Storage) allowing to decrease the CO2 emissions from industries (steel mills, refineries, waste-to-energy plants etc). Objectives/Scope Carbon capture is due to play a fundamental rote in achieving Net Zero Emissions scenario in 2050. Amine scrubbing is considered nowadays a suitable technology for the sectors with large-fixed CO2 emissions due to its robustness, adaptability, and capability of producing a highly concentrated CO2 stream, suitable to be transported. Four main challenges need to be addressed for the industrial deployment of this technology: process footprint reduction, process energy penalty reduction, solvent and VOC emission limitation and long-term process stability. Some challenges can be addressed through solvent formulation and process configuration. IFPEN has developed a novel solvent and process configuration, the DMX™ process, showing promising results in terms of energy consumption and process stability. This work aims at the demonstration of the DMX™ process by means of a set of experimental campaigns with a demonstration plant treating real gases in the frame of H2020 funded project called 3D (grant agreement n° 838031). The demonstration plant is installed in the Steel Mill of ArcelorMittal Dunkirk and will absorb CO2 present in the blast furnaces gases. The design and construction of the unit is realized under the supervision of Axens. The demonstration plant is operated by a mixed team from IFPEN and TotalEnergies. Methods, Procedures, Process The DMXTM technology is a CO2 chemical absorption process involving a demixing solvent. This process consists in the continuous operation of two sections: 1) the absorption section, in which the CO2 is captured by the lean solvent, and 2) the regeneration section, in which the rich solvent is thermally stripped from the CO2 and recirculated to the absorption section. The particularity of this process is the solvent demixing in the regeneration section. Only the CO2 rich aqueous stream is thermally stripped. In addition, since the regeneration of the solvent can be performed at a relative high temperature (150-160 °C), the DMX process produces a relatively high-pressure CO2 effluent (5-6 bara). Hence, energy and investment cost savings are expected to be obtained.
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Berichte der Organisationen zum Thema "Capture, 1630"

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Riedel, Michael, Jörg Bialas, Elisa Klein, Cord Papenberg, and Janine Berndt. Technical Report for Raw 2D MCS Reflection Data, R/V Sonne Cruise 294, Vancouver (Canada) – Port Hueneme (USA), 13/09/22 – 27/10/23. GEOMAR Helmholtz Centre for Ocean Research Kiel, Germany, 2024. http://dx.doi.org/10.3289/tr_2d-mcs_so294.

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The raw 2D multichannel seismic reflection data in this project were acquired during expedition SO294 offshore Vancouver Island, Canada, using two different sources, i.e., a single GI Gun and a GGun array. The data were recorded with an 184-channel streamer. The objectives of expedition SO294 were twofold: provision of geophysical images to constrain the hazard potential of the Cascadia subduction zone, and to constrain the geophysical properties of the oceanic crust to assess its storage potential for carbon capture and storage (CCS). The data comprise 1660 line kilometers and are provided in raw format (SEG-D) and associated standardized metadata. Detailed information on the acquisition can be found in the SO294 cruise report (https://doi.org/10.48433/cr_so294). In addition, this technical report is provided with the 2D multichannel seismic reflection data set.
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Lindfors, Axel, and Roozbeh Feiz. The current Nordic biogas and biofertilizer potential: An inventory of established feedstock and current technology. Linköping University Electronic Press, 2023. http://dx.doi.org/10.3384/9789180752558.

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Biogas solutions in the Nordics is undergoing rapid developments and the demand for biogas is ever increasing because of the Russian war on Ukraine and the transition to fossil free industry and transportation. Furthermore, with the introduction of several multi-national companies into the biogas sector in the Nordics and with more and more biomethane being traded across national borders, it becomes increasingly important to view biogas solutions in the Nordics as a whole and to go beyond the confines of each individual nation. Since the transition and the current energy crisis require a quick response, understanding what could be done with current technologies and established substrates is important to guide decision-making in the short-term. This study aims to do just that by presenting the current biogas potential for the Nordics, including Denmark, Finland, Iceland, Norway, and Sweden. The potential was estimated for eight categories: food waste, manure, food industry waste, sludge from wastewater treatment, landscaping waste, straw, agricultural residues, and crops with negligible indirect land use effects (such as ley crops and intermediary crops). Two categories were excluded due to a lack of appropriate estimation procedures and time to develop such procedures, and these were marine substrates and forest industry waste. Furthermore, several categories are somewhat incomplete due to lack of data on the availability of substrates and their biogas characteristics. These include, for example, crops grown on Ecological focus areas, excess ley silage, damaged crops, and certain types of food industries. The specifics of each category is further detailed in Section 2 of the report. In the report, the biogas potential includes the biomethane potential, the nutrient potential, and the carbon dioxide production potential, capturing all outputs of a biogas plant. The results of the potential study show that the current biomethane potential for the Nordics is about 39 TWh (140 PJ) per year when considering the included biomass categories in the short-term perspective. In relation to current production, realizing this potential would mean a roughly fourfold increase in yearly production, meaning that a significant unexploited potential remains. On the nutrient side, the biogas system in the Nordics would, given the realization of the estimated potential, be of roughly the same size as current mineral fertilizer use (about 75 percent for nitrogen and 160 percent for phosphorous). While this represents the management of a significant portion of nutrients used in agriculture, the potential to replace or reduce mineral fertilizer use through biogas expansion remains unexplored in this study since a significant portion of nutrients come from biomass that is already used as fertilizer (e.g., manure). Finally, on the carbon dioxide side, about 4.2 million tonnes of carbon dioxide would be produced, which could be either captured and stored or captured and utilized, thereby further increasing the positive environmental effects associated with biogas solutions. In conclusion, there remains a large unexploited biogas potential in the Nordics, even when only considering current technologies and established feedstock that could be realized in the short-term (the theoretical potential is much larger since many substrate categories are excluded and the potential is limited to established technologies). Such a realization would bring large increases to biomethane production but would also mean that a significant amount of nutrients would be recirculated through the biogas system. This means that the biogas system has a key role to play in increasing both the food and energy security in the Nordic countries, in addition to its many positive environmental effects.
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