WorldWideScience

Sample records for biennial environmental compliance

  1. Waste Isolation Pilot Plant Biennial Environmental Compliance Report

    Energy Technology Data Exchange (ETDEWEB)

    Washington Regulatory and Environmental Services (WRES)

    2004-10-25

    This Biennial Environmental Compliance Report (BECR) documents environmental regulatory compliance at the Waste Isolation Pilot Plant (WIPP), a facility designed and authorized for the safe disposal of transuranic (TRU) radioactive waste, for the reporting period of April 1, 2002, to March 31, 2004. As required by the WIPP Land Withdrawal Act (LWA) (Public Law [Pub. L.] 102-579, as amended by Pub. L. 104-201), the BECR documents U.S. Department of Energy (DOE) compliance with applicable environmental protection laws and regulations implemented by agencies of the federal government and the state of New Mexico.

  2. Waste Isolation Pilot Plant Biennial Environmental Compliance Report

    Energy Technology Data Exchange (ETDEWEB)

    Washington Regulatory and Environmental Services

    2006-10-12

    This Biennial Environmental Compliance Report (BECR) documents compliance with environmental regulations at the Waste Isolation Pilot Plant (WIPP), a facility designed and authorized for the safe disposal of transuranic (TRU) radioactive waste. This BECR covers the reporting period from April 1, 2004, to March 31, 2006. As required by the WIPP Land Withdrawal Act (LWA) (Public Law [Pub. L.] 102-579, as amended by Pub. L. 104-201), the BECR documents United States (U.S.) Department of Energy (DOE) compliance with regulations and permits issued pursuant to the following: (1) Title 40 Code of Federal Regulations (CFR) Part 191, Subpart A, "Environmental Standards for Management and Storage"; (2) Clean Air Act (CAA) (42 United States Code [U.S.C.] §7401, et seq.); (3) Solid Waste Disposal Act (SWDA) (42 U.S.C. §§6901-6992, et seq.); (4) Safe Drinking Water Act (SDWA) (42 U.S.C. §§300f, et seq.); (5) Toxic Substances Control Act (TSCA) (15 U.S.C. §§2601, et seq.); (6) Comprehensive Environmental Response, Compensation, and Liability Act (CERCLA) (42 U.S.C. §§9601, et seq.); and all other federal and state of New Mexico laws pertaining to public health and safety or the environment.

  3. Waste Isolation Pilot Plant Biennial Environmental Compliance Report

    Energy Technology Data Exchange (ETDEWEB)

    Westinghouse TRU Solutions

    2000-12-01

    This Biennial Environmental Compliance Report (BECR) documents environmental regulatory compliance at the Waste Isolation Pilot Plant (WIPP), a facility designed for the safe disposal of transuranic (TRU) radioactive waste, for the reporting period of April 1, 1998, to March 31, 2000. As required by the WIPP Land Withdrawal Act (LWA)(Public Law [Pub. L.] 102-579, and amended by Pub. L. 104-201), the BECR documents U.S. Department of Energy (DOE) Carlsbad Area Office's (hereinafter the ''CAO'') compliance with applicable environmental protection laws and regulations implemented by agencies of the federal government and the state of New Mexico. An issue was identified in the 1998 BECR relating to a potential cross-connection between the fire-water systems and the site domestic water system. While the CAO and its managing and operating contractor (hereinafter the ''MOC'') believe the site was always in compliance with cross-connection control requirements, hardware and procedural upgrades w ere implemented in March 1999 to strengthen its compliance posture. Further discussion of this issue is presented in section 30.2.2 herein. During this reporting period WIPP received two letters and a compliance order alleging violation of certain requirements outlined in section 9(a)(1) of the LWA. With the exception of one item, pending a final decision by the New Mexico Environment Department (NMED), all alleged violations have been resolved without the assessment of fines or penalties. Non-mixed TRU waste shipments began on March 26, 1999. Shipments continued through November 26, 1999, the effective date of the Waste Isolation Pilot Plant Hazardous Waste Facility Permit (NM4890139088-TSDF). No shipments regulated under the Hazardous Waste Facility Permit were received at WIPP during this BECR reporting period.

  4. Waste Isolation Pilot Plant Biennial Environmental Compliance Report

    Energy Technology Data Exchange (ETDEWEB)

    Washinton TRU Solutions LLC

    2002-09-30

    This Biennial Environmental Compliance Report (BECR) documents environmental regulatory compliance at the Waste Isolation Pilot Plant (WIPP), a facility designed for the safe disposal of transuranic (TRU) radioactive waste, for the reporting period of April 1, 2000, to March 31, 2002. As required by the WIPP Land Withdrawal Act (LWA)(Public Law [Pub. L.] 102-579, as amended by Pub. L. 104-201), the BECR documents U.S. Department of Energy (DOE) Carlsbad Field Office's (CBFO) compliance with applicable environmental protection laws and regulations implemented by agencies of the federal government and the state of New Mexico. In the prior BECR, the CBFO and the management and operating contractor (MOC)committed to discuss resolution of a Letter of Violation that had been issued by the New Mexico Environment Department (NMED) in August 1999, which was during the previous BECR reporting period. This Letter of Violation alleged noncompliance with hazardous waste aisle spacing, labeling, a nd tank requirements. At the time of publication of the prior BECR, resolution of the Letter of Violation was pending. On July 7, 2000, the NMED issued a letter noting that the aisle spacing and labeling concerns had been adequately addressed and that they were rescinding the violation alleging that the Exhaust Shaft Catch Basin failed to comply with the requirements for a hazardous waste tank. During the current reporting period, WIPP received a Notice of Violation and a compliance order alleging the violation of the New Mexico Hazardous Waste Regulations and the WIPP Hazardous Waste Facility Permit (HWFP).

  5. Environmental Compliance Issue Coordination

    Science.gov (United States)

    An order to establish the Department of Energy (DOE) requirements for coordination of significant environmental compliance issues to ensure timely development and consistent application of Departmental environmental policy and guidance

  6. Environmental Compliance Guide

    Energy Technology Data Exchange (ETDEWEB)

    None

    1981-02-01

    The Guide is intended to assist Department of Energy personnel by providing information on the NEPA process, the processes of other environmental statutes that bear on the NEPA process, the timing relationships between the NEPA process and these other processes, as well as timing relationships between the NEPA process and the development process for policies, programs, and projects. This information should be helpful not only in formulating environmental compliance plans but also in achieving compliance with NEPA and various other environmental statutes. The Guide is divided into three parts with related appendices: Part I provides guidance for developing environmental compliance plans for DOE actions; Part II is devoted to NEPA with detailed flowcharts depicting the compliance procedures required by CEQ regulations and Department of Energy NEPA Guidelines; and Part III contains a series of flowcharts for other Federal environmental requirements that may apply to DOE projects.

  7. Environmental compliance and cleanup

    Energy Technology Data Exchange (ETDEWEB)

    Black, D.G.

    1995-06-01

    This section of the 1994 Hanford Site Environmental Report summarizes the roles of the principal agencies, organizations, and public in environmental compliance and cleanup of the Hanford Site. Regulatory oversight, the Federal Facility Agreement and Consent Order, the role of Indian tribes, public participation, and CERCLA Natural Resource Damage Assessment Trustee Activities are all discussed.

  8. Environmental Compliance Audit& Assessment Program Manual

    Energy Technology Data Exchange (ETDEWEB)

    Thorson, Patrick; Baskin, David; Borglin, Ned; Fox, Robert; Wahl, Linnea; Hatayama, Howard; Pauer, Ronald

    2009-03-13

    This document describes the elements, schedule, roles, and responsibilities of the Lawrence Berkeley National Laboratory (LBNL) Environmental Compliance Audit & Assessment Program (ECAAP). The ECAAP has been developed to meet the requirements of DOE Order 450.1A,1 and Executive Order 13423.2 These referenced Orders stipulate that government agencies must develop environmental compliance audit programs to monitor and improve compliance with environmental regulations. As stated specifically in the DOE Order, as a part of a DOE facility's Environmental Management System (EMS), 'An environmental compliance audit and review program that identifies compliance deficiencies and root causes of non-compliance' shall be developed and implemented. The ECAAP has also been developed to satisfy LBNL's institutional technical assurance assessment requirements promulgated in the Environment, Safety and Health (ES&H) Self-Assessment Program (LBNL/PUB-5344) and described by the ES&H Technical Assurance Program (TAP) Manual (LBNL/PUB-913E). The ES&H TAP Manual provides the framework for systematic reviews of ES&H programs with the intent to provide assurance that these programs comply with their guiding regulations, are effective, and are properly implemented. As required by the DOE and Executive Orders and by LBNL's TAP, the goal of the ECAAP is to identify environmental regulatory compliance deficiencies and to determine their respective causes. The ECAAP then provides a means of correcting any deficiencies identified, and leads to continually improving environmental compliance performance.

  9. Motivation for Compliance with Environmental Regulation

    DEFF Research Database (Denmark)

    Winter, Søren; May, Peter J.

    2001-01-01

    A combination of calculated, normative, and social motivations as well as awareness of rules and capacity to comply are thought to foster compliance with regulations. Hypotheses about these factors were tested with data concerning Danish farmers’ compliance with agro-environmental regulations...

  10. PRODUCING IN COMPLIANCE WITH ENVIRONMENTAL ...

    African Journals Online (AJOL)

    However, in order to create causal link between this effluent and its impact ... form of waste generated from brewery consists of waste water or effluent obtained from ... upgrading its production system in a more modernized and environmentally .... They only send a small portion of broken bottle for the recycling and throw the ...

  11. Environmental Compliance Assessment System (ECAS)

    Science.gov (United States)

    1993-09-01

    Housing (DEH)/DPW (2) Environmental Coordinator (EC) (3) Preventive Medi- cine (4) Safety and Health Officer (6) Director of Logistica (DOL) (9) Chief...Department (6) Director of Logistica (DOL) (18) TSDF Operators (DEHDOL,DRMO) (19) Shop Actvity Supwvio, (23) Defense and Retilization Maduwfing Offe (DRMO...Health Officer (5) Fire Department (6) Director of Logistica (DOL) (18) TSDF Operaor (DEHDOL.DRMO) (19) Shop Activity Supervisor (23) Defense and

  12. Compliance Notices – A New Tool in Environmental Enforcement

    Directory of Open Access Journals (Sweden)

    LA Feris

    2006-12-01

    Full Text Available This note examines compliance notices, a new administrative remedy that has been created to assist in compliance and enforcement of environmental laws. The note considers the aim and scope of compliance and the process of issuing a compliance notice. In addition, it reflects on objections to compliance notices as well as the effect of non-compliance with compliance notices. It furthermore considers the mandate of Environmental Management Inspectors (EMIs to issue compliance notices, the legislation in terms of which they may issue compliance notices and the ability of EMIs to issue compliance notices beyond the designated legislation. The note also assesses the overall effectiveness of compliance notices and the extent to which it is likely to be utilised by EMIs in the exercise of their mandate.

  13. National Environmental Policy Act compliance guide. Volume II (reference book)

    Energy Technology Data Exchange (ETDEWEB)

    NONE

    1994-09-01

    This document (Volume II of the National Environmental Policy Act Compliance Guide) contains current copies of regulations and guidance from the Council on Environmental Quality, the Department of Energy, the Department of State, and the Environmental Protection Agency, related to compliance with the National Environmental Policy Act of 1969 (NEPA).

  14. National RCRA Hazardous Waste Biennial Report Data Files

    Data.gov (United States)

    U.S. Environmental Protection Agency — The United States Environmental Protection Agency (EPA), in cooperation with the States, biennially collects information regarding the generation, management, and...

  15. National Environmental Policy Act (NEPA) Compliance Guide, Sandia National Laboratories

    Energy Technology Data Exchange (ETDEWEB)

    Hansen, R.P. [Hansen Environmental Consultants, Englewood, CO (United States)

    1995-08-01

    This report contains a comprehensive National Environmental Policy Act (NEPA) Compliance Guide for the Sandia National Laboratories. It is based on the Council on Environmental Quality (CEQ) NEPA regulations in 40 CFR Parts 1500 through 1508; the US Department of Energy (DOE) N-EPA implementing procedures in 10 CFR Part 102 1; DOE Order 5440.1E; the DOE ``Secretarial Policy Statement on the National Environmental Policy Act`` of June 1994- Sandia NEPA compliance procedures-, and other CEQ and DOE guidance. The Guide includes step-by-step procedures for preparation of Environmental Checklists/Action Descriptions Memoranda (ECL/ADMs), Environmental Assessments (EAs), and Environmental Impact Statements (EISs). It also includes sections on ``Dealing With NEPA Documentation Problems`` and ``Special N-EPA Compliance Issues.``

  16. 75 FR 26270 - Environmental Planning and Historic Preservation Compliance Costs Policy; Environmental Planning...

    Science.gov (United States)

    2010-05-11

    ... SECURITY Federal Emergency Management Agency Environmental Planning and Historic Preservation Compliance Costs Policy; Environmental Planning and Historic Preservation Mitigation Policy AGENCY: Federal... Emergency Management Agency (FEMA) is accepting comments on a draft Environmental Planning and Historic...

  17. Formerly Utilized Sites Remedial Action Program environmental compliance assessment checklists

    Energy Technology Data Exchange (ETDEWEB)

    Levine, M.B.; Sigmon, C.F.

    1989-09-29

    The purpose of the Environmental Compliance Assessment Program is to assess the compliance of Formerly Utilized Site Remedial Action Program (FUSRAP) sites with applicable environmental regulations and Department of Energy (DOE) Orders. The mission is to identify, assess, and decontaminate sites utilized during the 1940s, 1950s, and 1960s to process and store uranium and thorium ores in support of the Manhattan Engineer District and the Atomic Energy Commission. To conduct the FUSRAP environmental compliance assessment, checklists were developed that outline audit procedures to determine the compliance status of the site. The checklists are divided in four groups to correspond to these regulatory areas: Hazardous Waste Management, PCB Management, Air Emissions, and Water Discharges.

  18. Environmental surveillance and compliance at Los Alamos during 1996

    Energy Technology Data Exchange (ETDEWEB)

    NONE

    1997-09-01

    This report presents environmental data that characterize environmental performance and addresses compliance with environmental standards and requirements at Los Alamos National Laboratory (LANL or the Laboratory) during 1996. The Laboratory routinely monitors for radiation and for radioactive nonradioactive materials at Laboratory sites as well as in the surrounding region. LANL uses the monitoring results to determine compliance with appropriate standards and to identify potentially undesirable trends. Data were collected in 1996 to assess external penetrating radiation; quantities of airborne emissions; and concentrations of chemicals and radionuclides in ambient air, surface waters and groundwaters, the municipal water supply, soils and sediments, and foodstuffs. Using comparisons with standards and regulations, this report concludes that environmental effects from Laboratory operations are small and do not pose a demonstrable threat to the public, Laboratory employees, or the environment. Laboratory operations were in compliance with all major environmental regulations.

  19. Environmental Compliance Assessment System (USA ECAS)

    Science.gov (United States)

    1991-09-01

    objectionable color, turbidity, taste, or odor. Palatability does not imply potability. * Person - ar individual, corporation , company, association...mat Comnator (BC) (4) S fety and Hath Officer (5) ire DOe t (6) r-ector of Lgisics (DOL) (9) Chief of Opuuiwoand Msintamanc (O&Mch) 6- 19 COMPLIANCE... Corporation Askarel Hevi-Duty Ilevi-Dlxy Corporation Askarel * Ferranti-PackardLd. Askarel tkiiversal Mfg. Co. Oilorextol ’Allis-Oairm Chloiinoll Sparagoe

  20. Motivational Postures and Compliance with Environmental Law in Australian Agriculture

    Science.gov (United States)

    Bartel, Robyn; Barclay, Elaine

    2011-01-01

    Motivational posture theory is applied and extended to the context of Australian agriculture and environmental regulation. Regulatory failure in this area has been observed but little was known of the compliance attitudes and behaviours of farmers prior to this study. Agriculture covers over 60% of Australia's land surface so this information is…

  1. Issues of environmental compliance in developing countries.

    Science.gov (United States)

    Singh, S; Rajamani, S

    2003-01-01

    Environmental laws define the scarcity of environmental resources as they affect the factor endowment of a country and therefore its position in the international division of labour. There is now also a general agreement that applying the "polluter pays" principle should solve environmental problems. As the burden of abatement increases, as measured by the ratio of abatement expenditure to sales, there is definitely an incentive for firms to either invest in cleaner technology or more efficient abatement technology. There is also evidence that taxes and charges, designed to internalise externalities, can actually affect trade. It is interesting to know if the developing countries face particular market access problems in the face of stringent environmental standards and regulations. While it is true that stringent measures impose market access restrictions and cause limitations on competitiveness, this is much more widely felt by the developing countries because of lack of infrastructure and monitoring facilities, limited technology choices, inadequate access to environment-friendly raw materials, lack of complete information, presence of small-scale exporters and emergence of environmental standards in sectors of export interest to developing countries. The small and medium enterprises often divert sales either to the domestic market or to external markets where environmental requirements are less stringent, in order to save on their costs. In developing countries, 80% of the tanning industry is comprised of small and medium enterprises (SMEs) processing raw to semi-finished leather, usually less than 2 tons per day. In Europe and other developed countries the SMEs in the leather sector have vanished due to strict environmental legislation and this will likely occur in developing countries also. The environmental legislation has not always been practical, either because the laws are too ambitious or unrealistic in certain parameters, or because they have lacked

  2. Environmental management compliance reengineering project, FY 1997 report

    Energy Technology Data Exchange (ETDEWEB)

    VanVliet, J.A.; Davis, J.N.

    1997-09-01

    Through an integrated reengineering effort, the Idaho National Engineering and Environmental Laboratory (INEEL) is successfully implementing process improvements that will permit safe and compliant operations to continue during the next 5 years, even though $80 million was removed from the Environmental Management (EM) program budget. A 2-year analysis, design, and implementation project will reengineer compliance-related activities and reduce operating costs by approximately $17 million per year from Fiscal Year (FY) 1998 through 2002, while continuing to meet the INEEL`s environment, safety, and health requirements and milestone commitments. Compliance reengineer`s focus is improving processes, not avoiding full compliance with environmental, safety, and health laws. In FY 1997, compliance reengineering used a three-phase approach to analyze, design, and implement the changes that would decrease operating costs. Implementation for seven specific improvement projects was completed in FY 1997, while five projects will complete implementation in FY 1998. During FY 1998, the three-phase process will be repeated to continue reengineering the INEEL.

  3. Environmental Compliance Assessment and Management Program

    Science.gov (United States)

    1994-04-01

    reared in captivity or not, including any mammal, fish, bird, amphibian, reptile, mollusk, crustacean, arthropod, or other invertebrate and includes...Densebeaked Whale Mesoplodon densirostris Killer Whale Orcinus orca False Killer Whale Pseudorca crassidens Pygmy Killer Whale Feresa atenuata Melon...account the economic, social, and environmental costs and benefits of the use of the pesticide. 7.37. Uz - any act of handling or release of a pesticide

  4. Integration of Environmental Compliance at the Savannah River Site - 13024

    Energy Technology Data Exchange (ETDEWEB)

    Hoel, David [United States Department of Energy - Savannah River Operations Office (United States); Griffith, Michael [Savannah River Nuclear Solutions, LLC (United States)

    2013-07-01

    The Savannah River Site (SRS) is a large federal installation hosting diverse missions and multiple organizations with competing regulatory needs. Accordingly, there was a need to integrate environmental compliance strategies to ensure the consistent flow of information between Department of Energy-Savannah River (DOE-SR), the regulatory agencies and other interested parties. In order to meet this objective, DOE and major SRS contractors and tenants have committed to a strategy of collaboratively working together to ensure that a consistent, integrated, and fully coordinated approach to environmental compliance and regulator relationships is maintained. DOE-SR and Savannah River Nuclear Solutions, LLC, the SRS management and operations contractor, have established an environmental compliance integration process that provides for the consistent flow down of requirements to projects, facilities, SRS contractors, and subcontractors as well as the upward flow of information to assist in the early identification and resolution of environmental regulatory issues and enhancement of compliance opportunities. In addition, this process strongly fosters teamwork to collaboratively resolve complex regulatory challenges, promote pollution prevention and waste minimization opportunities to advance site missions in a manner that balances near-term actions with the long-term site vision, while being protective of human health and the environment. Communication tools are being utilized, some with enhancements, to ensure appropriate information is communicated to all levels with environmental responsibility at SRS. SRS internal regulatory integration is accomplished through a variety of informational exchange forums (e.g., Challenges, Opportunities and Resolution (COR) Team, DOE's Joint Site Regulatory Integration Team, and the Senior Environmental Managers Council (SEMC)). SRS communications and problem-solving with the regulatory agencies have been enhanced through formation

  5. 1995 project of the year Hanford Environmental compliance project nomination

    Energy Technology Data Exchange (ETDEWEB)

    Kelly, J.R.

    1996-02-01

    The completion of the Hanford Environmental Compliance (HEC) Project in December 1995 brought to a successful close a long line of major contributions to environmental cleanup. Not since the early days of the Hanford Site during and shortly after World War 11 had such a large group of diverse construction activities, with a common goal, been performed at Hanford. Key to this success was the unique combination of 14 subprojects under the HEC Project which afforded the flexibility to address evolving subproject requirements. This strategy resulted in the accomplishment of the HEC Project stakeholders` objectives on an aggressive schedule, at a $33 million cost savings to the customer. The primary objectives of the HEC Project were to upgrade selected Hanford Site facilities and systems to bring them into compliance with current environmental standards and regulations. The HEC Project contributed significantly towards the Hanford site compliance with Clean Water Act, Resource Conservation and Recovery Act (RCRA) and Comprehensive Environmental Response, Compensation, and Liability Act (CERCLA) requirements. It provided, in part, those construction activities required to comply with those requirements in the areas of liquid and solid waste treatment and disposal, waste characterization, and groundwater monitoring.

  6. Challenges in quality of environmental measurements for compliance

    Energy Technology Data Exchange (ETDEWEB)

    White, M.G.

    1994-04-07

    Quality systems development in environmental measurements for compliance with regulatory requirements for nuclear and other contaminants in the environment is one of the major challenges in current technology disciplines. Efforts to fulfill the mission and objectives of funded projects will not be successful on a timely and cost-effective schedule without adequate plans and credible action for the protection of workers, facilities, and the public in environment, safety, and health aspects. This can be accomplished through quality assurance planning and implementation of an effective, controlled environmental measurements program.

  7. Environmental Compliance and Protection Program Description Oak Ridge, Tennessee

    Energy Technology Data Exchange (ETDEWEB)

    Bechtel Jacobs

    2009-02-26

    The objective of the Environmental Compliance and Protection (EC and P) Program Description (PD) is to establish minimum environmental compliance requirements and natural resources protection goals for the Bechtel Jacobs Company LLC (BJC) Oak Ridge Environmental Management Cleanup Contract (EMCC) Contract Number DE-AC05-98OR22700-M198. This PD establishes the work practices necessary to ensure protection of the environment during the performance of EMCC work activities on the US Department of Energy's (DOE's) Oak Ridge Reservation (ORR) in Oak Ridge, Tennessee, by BJC employees and subcontractor personnel. Both BJC and subcontractor personnel are required to implement this PD. A majority of the decontamination and demolition (D and D) activities and media (e.g., soil and groundwater) remediation response actions at DOE sites on the ORR are conducted under the authority of the Comprehensive Environmental Response, Compensation, and Liability Act of 1980 (CERCLA). CERCLA activities are governed by individual CERCLA decision documents (e.g., Record of Decision [ROD] or Action Memorandum) and according to requirements stated in the Federal Facility Agreement for the Oak Ridge Reservation (DOE 1992). Applicable or relevant and appropriate requirements (ARARs) for the selected remedy are the requirements for environmental remediation responses (e.g., removal actions and remedial actions) conducted under CERCLA.

  8. Industrial Fuel Gas Demonstration Plant Program: environmental permit compliance plan

    Energy Technology Data Exchange (ETDEWEB)

    Bodamer, Jr., James W.; Bocchino, Robert M.

    1979-11-01

    This Environmental Permit Compliance Plan is intended to assist the Memphis Light, Gas and Water Division in acquiring the necessary environmental permits for their proposed Industrial Fuel Gas Demonstration Plant in a time frame consistent with the construction schedule. Permits included are those required for installation and/or operation of gaseous, liquid and solid waste sources and disposal areas. Only those permits presently established by final regulations are described. The compliance plan describes procedures for obtaining each permit from identified federal, state and local agencies. The information needed for the permit application is presented, and the stepwise procedure to follow when filing the permit application is described. Information given in this plan was obtained by reviewing applicable laws and regulations and from telephone conversations with agency personnel on the federal, state and local levels. This Plan also presents a recommended schedule for beginning the work necessary to obtain the required environmental permits in order to begin dredging operations in October, 1980 and construction of the plant in September, 1981. Activity for several key permits should begin as soon as possible.

  9. Implications of Stein's Paradox for Environmental Standard Compliance Assessment.

    Science.gov (United States)

    Qian, Song S; Stow, Craig A; Cha, YoonKyung

    2015-05-19

    The implications of Stein's paradox stirred considerable debate in statistical circles when the concept was first introduced in the 1950s. The paradox arises when we are interested in estimating the means of several variables simultaneously. In this situation, the best estimator for an individual mean, the sample average, is no longer the best. Rather, a shrinkage estimator, which shrinks individual sample averages toward the overall average is shown to have improved overall accuracy. Although controversial at the time, the concept of shrinking toward overall average is now widely accepted as a good practice for improving statistical stability and reducing error, not only in simple estimation problems, but also in complicated modeling problems. However, the utility of Stein's insights are not widely recognized in the environmental management community, where mean pollutant concentrations of multiple waters are routinely estimated for management decision-making. In this essay, we introduce Stein's paradox and its modern generalization, the Bayesian hierarchical model, in the context of environmental standard compliance assessment. Using simulated data and nutrient monitoring data from wadeable streams around the Great Lakes, we show that a Bayesian hierarchical model can improve overall estimation accuracy, thereby improving our confidence in the assessment results, especially for standard compliance assessment of waters with small sample sizes.

  10. National Environmental Policy Act (NEPA) compliance at Sandia National Laboratories/New Mexico (SNL/NM)

    Energy Technology Data Exchange (ETDEWEB)

    Wolff, T.A. [Sandia National Labs., Albuquerque, NM (United States). Community Involvement and Issues Management Dept.; Hansen, R.P. [Hansen Environmental Consultants, Englewood, CO (United States)

    1998-08-01

    This report on National Environmental Policy Act (NEPA) compliance at Sandia National Laboratories/New Mexico (SNL/NM) chronicles past and current compliance activities and includes a recommended strategy that can be implemented for continued improvement. This report provides a list of important references. Attachment 1 contains the table of contents for SAND95-1648, National Environmental Policy Act (NEPA) Compliance Guide Sandia National Laboratories (Hansen, 1995). Attachment 2 contains a list of published environmental assessments (EAs) and environmental impact statements (EISs) prepared by SNL/NM. Attachment 3 contains abstracts of NEPA compliance papers authored by SNL/NM and its contractors.

  11. Overview of environmental surveillance and compliance at Los Alamos during 1996

    Energy Technology Data Exchange (ETDEWEB)

    NONE

    1997-09-01

    After introductory remarks about the National Lab, the report discusses background radiation, human-produced radiation, radionuclide migration, doses, and health physics risk; the environmental programs at LANL including environmental protection, restoration, waste management, quality assurance, environmental oversight, environmental safety and training; environmental monitoring of external penetrating radiation, surface waters, sediments, soils, foodstuffs, and associated biota; and environmental compliance with existing regulations.

  12. Environmental Compliance for Oil and Gas Exploration and Production

    Energy Technology Data Exchange (ETDEWEB)

    Hansen, Christine

    1999-10-26

    The Appalachian/Illinois Basin Directors is a group devoted to increasing communication among the state oil and gas regulatory agencies within the Appalachian and Illinois Basin producing region. The group is comprised of representatives from the oil and gas regulatory agencies from states in the basin (Attachment A). The directors met to discuss regulatory issues common to the area, organize workshops and seminars to meet the training needs of agencies dealing with the uniqueness of their producing region and perform other business pertinent to this area of oil and gas producing states. The emphasis of the coordinated work was a wide range of topics related to environmental compliance for natural gas and oil exploration and production.

  13. Guidelines for compliance with the National Environmental Policy Act and the California Environmental Quality Act

    Energy Technology Data Exchange (ETDEWEB)

    Kielusiak, C.

    1993-02-01

    The National Environmental Policy Act of 1969 (NEPA) sets forth national policy for the protection of the environment. The NEPA process is intended to help officials of the federal government make decisions that are based on an understanding of environmental consequences, and take actions that protect, restore, and enhance the environment. The California Environmental Quality Act of 1970 (CEQA) is similar to NEPA. The California legislature established CEQA to inform both state and local governmental decision-makers and the public about potential significant environmental effects of proposed activities, to identify ways to avoid or reduce environmental impacts, and to disclose to the public the reasons why a project is approved if significant environmental effects are involved. Lawrence Berkeley Laboratory (LBL), complies with the provisions of both NEPA and CEQA. This document defines the responsibilities and authorities for NEPA/CEQA compliance at LBL.

  14. Guidelines for compliance with the National Environmental Policy Act and the California Environmental Quality Act

    Energy Technology Data Exchange (ETDEWEB)

    Kielusiak, C.

    1993-02-01

    The National Environmental Policy Act of 1969 (NEPA) sets forth national policy for the protection of the environment. The NEPA process is intended to help officials of the federal government make decisions that are based on an understanding of environmental consequences, and take actions that protect, restore, and enhance the environment. The California Environmental Quality Act of 1970 (CEQA) is similar to NEPA. The California legislature established CEQA to inform both state and local governmental decision-makers and the public about potential significant environmental effects of proposed activities, to identify ways to avoid or reduce environmental impacts, and to disclose to the public the reasons why a project is approved if significant environmental effects are involved. Lawrence Berkeley Laboratory (LBL), complies with the provisions of both NEPA and CEQA. This document defines the responsibilities and authorities for NEPA/CEQA compliance at LBL.

  15. Applying the Analytic Hierarchy Process to Oil Sands Environmental Compliance Risk Management

    Science.gov (United States)

    Roux, Izak Johannes, III

    Oil companies in Alberta, Canada, invested $32 billion on new oil sands projects in 2013. Despite the size of this investment, there is a demonstrable deficiency in the uniformity and understanding of environmental legislation requirements that manifest into increased project compliance risks. This descriptive study developed 2 prioritized lists of environmental regulatory compliance risks and mitigation strategies and used multi-criteria decision theory for its theoretical framework. Information from compiled lists of environmental compliance risks and mitigation strategies was used to generate a specialized pairwise survey, which was piloted by 5 subject matter experts (SMEs). The survey was validated by a sample of 16 SMEs, after which the Analytic Hierarchy Process (AHP) was used to rank a total of 33 compliance risks and 12 mitigation strategy criteria. A key finding was that the AHP is a suitable tool for ranking of compliance risks and mitigation strategies. Several working hypotheses were also tested regarding how SMEs prioritized 1 compliance risk or mitigation strategy compared to another. The AHP showed that regulatory compliance, company reputation, environmental compliance, and economics ranked the highest and that a multi criteria mitigation strategy for environmental compliance ranked the highest. The study results will inform Alberta oil sands industry leaders about the ranking and utility of specific compliance risks and mitigations strategies, enabling them to focus on actions that will generate legislative and public trust. Oil sands leaders implementing a risk management program using the risks and mitigation strategies identified in this study will contribute to environmental conservation, economic growth, and positive social change.

  16. Environmental Compliance Costs in Developed Country Agricultures: Implications for Trade and Competitiveness

    NARCIS (Netherlands)

    Fox, G.; Brouwer, F.M.

    2012-01-01

    This chapter reflects on the costs of compliance with environmental regulations and standards in agriculture in developed countries, and its implications for trade and competitiveness. It highlights the importance of enforcement mechanisms and implementation, subjects which often have been undervalu

  17. 77 FR 36177 - National Environmental Policy Act Compliance for Proposed Tower Registrations; Effects of...

    Science.gov (United States)

    2012-06-18

    ... COMMISSION 47 CFR Parts 1, 17, 22, 24, 25, 27, 80, 87, and 90 National Environmental Policy Act Compliance... on the environmental effects of a proposed structure that requires registration; determining if the... application while the ASR application is going through the new environmental notice process as required by...

  18. 77 FR 3935 - National Environmental Policy Act Compliance for Proposed Tower Registrations; Effects of...

    Science.gov (United States)

    2012-01-26

    ... COMMISSION 47 CFR Parts 1, 17, 22, 24, 25, 27, 80, 87 and 90 National Environmental Policy Act Compliance for... Commission considers categorically excluded from review under the National Environmental Policy Act (NEPA....'' Forty Most Asked Questions Concerning CEQ's National Environmental Policy Act Regulations, 46 FR...

  19. Lessons for environmental compliance from one company's creative sentencing case

    Energy Technology Data Exchange (ETDEWEB)

    Bowen, F.; Van der Byl, C.; Dillabough, J. [Calgary Univ., AB (Canada); Bertels, S. [Simon Fraser Univ., Burnaby, BC (Canada)

    2010-07-01

    This paper discussed the preliminary findings from a creative sentencing research project that emerged as a result of environmental infractions at an oil sands in-situ facility in Alberta's Fort McMurray area. The nature of the company's violations and their root cause were described along with the lessons for environmental compliance. The company contravened the project approval by operating for 2 years without a required piece of emission control equipment and failed to notify Alberta Environment in a timely manner. In addition to a loss of public goodwill towards the company, the infractions resulted in the company being fined and ordered to participate in the creative sentencing project. Creative sentencing in Alberta addresses the failures of traditional fines in bringing about compliance to environmental regulations and serves the public interest in helping companies identify the root cause of infractions and develop strategies for improvement. The contextual factors that contributed to regulatory non-compliance in this case included general turbulence in the industry, regulatory uncertainties connected to new technology, and an industry-wide personnel shortage. However, the root causes of the non-compliance were weak process management, weak operational compliance tracking, and weak culture of compliance at the company in question. The particular response of the company to each of these charges was described.

  20. Tracking Environmental Compliance and Remediation Trajectories Using Image-Based Anomaly Detection Methodologies

    Directory of Open Access Journals (Sweden)

    James K. Lein

    2011-11-01

    Full Text Available Recent interest in use of satellite remote sensing for environmental compliance and remediation assessment has been heightened by growing policy requirements and the need to provide more rapid and efficient monitoring and enforcement mechanisms. However, remote sensing solutions are attractive only to the extent that they can deliver environmentally relevant information in a meaningful and time-sensitive manner. Unfortunately, the extent to which satellite-based remote sensing satisfies the demands for compliance and remediation assessment under the conditions of an actual environmental accident or calamity has not been well documented. In this study a remote sensing solution to the problem of site remediation and environmental compliance assessment was introduced based on the use of the RDX anomaly detection algorithm and vegetation indices developed from the Tasseled Cap Transform. Results of this analysis illustrate how the use of standard vegetation transforms, integrated into an anomaly detection strategy, enable the time-sequenced tracking of site remediation progress. Based on these results credible evidence can be produced to support compliance evaluation and remediation assessment following major environmental disasters.

  1. Compliance status

    Energy Technology Data Exchange (ETDEWEB)

    Black, D.G.

    1995-06-01

    This section of the 1994 Hanford Site Environmental Report summarizes the activities conducted to ensure that the Hanford Site is in compliance with federal environmental protection statutes and related Washington State and local environmental protection regulations and the status of Hanford`s compliance with these requirements. Environmental permits required under the environmental protection regulations are discussed under the applicable statute.

  2. United States Department of Energy Nevada Operations Office Environmental Compliance Handbook. Third edition

    Energy Technology Data Exchange (ETDEWEB)

    NONE

    1998-03-01

    The Environment, Safety & Health Division (ESHD) of the Nevada Operations Office has prepared this Environmental Compliance Handbook for all users of the Nevada Test Site (NTS) and other US Department of Energy, Nevada Operations Office (DOE/NV) facilities. The Handbook gives an overview of the important environmental laws and regulations that apply to the activities conducted by the Nevada Operations Office and other users of DOE/NV facilities in Nevada.

  3. Effective management with environmental compliance -- A win-win situation

    Energy Technology Data Exchange (ETDEWEB)

    Phyper, J.D.

    1999-07-01

    Interest in Environmental Management Systems has evolved with the introduction of the ISO 14000 series of standards and the realization that environmental affairs should be managed like other business risks. This session will review the status of implementing the ISO 14001 standard, as well as discuss the potential integration of quality (ISO 9001) and health and safety standards (BS 8800). The role software tools play in the implementation and ongoing conformance of the ISO 14001/BS 8800 standards will also be covered, including the significant cost-savings that can occur.

  4. Environmental factors and their association with emergency department hand hygiene compliance: an observational study.

    Science.gov (United States)

    Carter, Eileen J; Wyer, Peter; Giglio, James; Jia, Haomiao; Nelson, Germaine; Kauari, Vepuka E; Larson, Elaine L

    2016-05-01

    Hand hygiene is effective in preventing healthcare-associated infections. Environmental conditions in the emergency department (ED), including crowding and the use of non-traditional patient care areas (ie, hallways), may pose barriers to hand hygiene compliance. We examined the relationship between these environmental conditions and proper hand hygiene. This was a single-site, observational study. From October 2013 to January 2014, trained observers recorded hand hygiene compliance among staff in the ED according to the World Health Organization 'My 5 Moments for Hand Hygiene'. Multivariable logistic regression was used to analyse the relationship between environmental conditions and hand hygiene compliance, while controlling for important covariates (eg, hand hygiene indication, glove use, shift, etc). A total of 1673 hand hygiene opportunities were observed. In multivariable analyses, hand hygiene compliance was significantly lower when the ED was at its highest level of crowding than when the ED was not crowded and lower among hallway care areas than semiprivate care areas (OR=0.39, 95% CI 0.28 to 0.55; OR=0.73, 95% CI 0.55 to 0.97). Unique environmental conditions pose barriers to hand hygiene compliance in the ED setting and should be considered by ED hand hygiene improvement efforts. Further study is needed to evaluate the impact of these environmental conditions on actual rates of infection transmission. Published by the BMJ Publishing Group Limited. For permission to use (where not already granted under a licence) please go to http://www.bmj.com/company/products-services/rights-and-licensing/

  5. Environmental compliance guide. Guidance manual for Department of Energy compliance with the Clean Air Act: nonattainment areas

    Energy Technology Data Exchange (ETDEWEB)

    None

    1982-09-01

    The purpose of this manual is to identify information requirements associated with air quality permit applications in areas for which ambient pollutant levels currently exceed the national ambient air quality standards (nonattainment areas). The manual is to be used by project managers at the US Department of Energy (DOE), in conjunction with the DOE Environmental Compliance Guide, to provide preliminary estimates of information required to obtain air quality permits for DOE projects. An analysis of nonattainment area permitting found that permitting of all sources in such areas is done on the state or local levels; the Environmental Protection Agency does not grant permits in nonattainment areas. As a result, Federal information requirements for permitting in nonattainment areas are somewhat vague. To provide a more realistic picture of nonattainment area permitting, selected state and local regulations were surveyed, and were found to contain more detail on the information required for permit approval. The most potentially demanding information requirements associated with nonattainment area permitting are the determination of Lowest Achievable Emission Rate, the negotiation of external emission offsets, and the consideration of the environmental impacts of project alternatives in ozone and carbon monoxide nonattainment areas. In any state, a few information requirements for nonattainment area permitting are likely to overlap with information requirements of other permitting processes, such as those in the Prevention of Significant Deterioration procedure. These requirements are emissions data and air quality modeling and its associated input data requirements (meteorology, topography, etc.).

  6. Pragmatics of policy: the compliance of dutch environmental policy instruments to European union standards.

    Science.gov (United States)

    Kruitwagen, Sonja; Reudink, Melchert; Faber, Albert

    2009-04-01

    Despite a general decrease in Dutch environmental emission trends, it remains difficult to comply with European Union (EU) environmental policy targets. Furthermore, environmental issues have become increasingly complex and entangled with society. Therefore, Dutch environmental policy follows a pragmatic line by adopting a flexible approach for compliance, rather than aiming at further reduction at the source of emission. This may be politically useful in order to adequately reach EU targets, but restoration of environmental conditions may be delayed. However, due to the complexity of today's environmental issues, the restoration of environmental conditions might not be the only standard for a proper policy approach. Consequently this raises the question how the Dutch pragmatic approach to compliance qualifies in a broader policy assessment. In order to answer this question, we adapt a policy assessment framework, developed by Hemerijck and Hazeu (Bestuurskunde 13(2), 2004), based on the dimensions of legitimacy and policy logic. We apply this framework for three environmental policy assessments: flexible instruments in climate policy, fine-tuning of national and local measures to meet air quality standards, and derogation for the Nitrate Directive. We conclude with general assessment notes on the appliance of flexible instruments in environmental policy, showing that a broad and comprehensive perspective can help to understand the arguments to put such policy instruments into place and to identify trade-offs between assessment criteria.

  7. FEATURES AND COMPARISONS OF THE QUASI-BIENNIAL VARIATIONS IN THE ASIA-PACIFIC MONSOON SUBSYSTEMS

    Institute of Scientific and Technical Information of China (English)

    ZHENG Bin; LI Chun-hui; LIN Ai-lan; GU De-jun

    2009-01-01

    The National Centers for Environmental Prediction (NCEP) reanalysis data Climate Diagnostics Center Merged Analysis of Precipitation (CMAP) results,and NOAA Extended Reconstructed Sea Surface Temperature (SST),have been utilized in this paper to study the quasi-biennial variations in Asia-Pacific monsoon subsystems and associated SST anomalies (SSTA) and wind anomalies. Four monsoon indices are computed fi,om NCEP/National Center for Atmospheric Research (NCAR) reanalysis to represent the South Asian monsoon (SAM),South China Sea summer monsoon (SCSSM),Western North Pacific monsoon (WNPM) and East Asian monsoon (EAM),respectively. The quasi-biennial periods are very significant in Asia-Pacific monsoons (as discovered by power spectrum analysis),and for SAM and EAM---with moderate effects by EI Ni(n)o-Southern Oscillation (ENSO)---the quasi-biennial periods are the most important factor. For SCSSM and WNPM (once again due to the effects of ENSO),the quasi-biennial periods are of secondary durations. There are obvious interdecadal variations in the quasi-biennial modes of the Asia-Pacific monsoon,so in the negative phase the biennial modes will not be significant or outstanding. The wind anomalies and SSTA associated with the biennial modes are very different in the SAM. WNPM and EAM regions. Since the WNPM and SCSSM are very similar in the biennial modes,they can be combined into one subsystem,called SCS/WNPM.

  8. Improving hospital staff compliance with environmental cleaning behavior.

    Science.gov (United States)

    Ramphal, Lilly; Suzuki, Sumhiro; McCracken, Izah Mercy; Addai, Amanda

    2014-04-01

    Reducing the incidence of healthcare-associated infections requires proper environmental cleanliness of frequently touched objects within the hospital environment. An intervention was launched in June 2012 and repeated in February 2013 and August 2013 to increase hospital room cleanliness with repeated education and training of nursing and environmental services staff to reduce healthcare-associated infections at Cook Children's Medical Center. Random rooms were tested, staff were trained about proper cleaning, rooms were retested for surface cleanliness, and preintervention and postintervention values were compared. The percentage of cleaned surfaces improved incrementally between the three trials-with values of 20%, 49%, and 82% showing that repeat training favorably changed behavior in the staff (P = 0.007). During the study period, during which other infection control interventions were also introduced, there was a decline from 0.27 to 0.21 per 1000 patient days for Clostridium difficile infection, 0.43 to 0.21 per 1000 patient days for ventilator-associated infections, 1.8% to 1.2% for surgical site infections, and 1.2 to 0.7 per 1000 central venous line days for central line-associated bloodstream infections.

  9. Environmental Crimes and the Federal Employee: Environmental Compliance is Part of the Mission

    Science.gov (United States)

    1990-04-01

    within its office of Enforcement and Compliance Monitoring . 38 Emphasis on criminal enforcement as part of EPA’s overall compliance effort increased...Section have sole responsibility with administrative support from USAOs, joint responsibility with the USAOs, or monitoring responsibility.5 3...persons who disregard the regulatory system. Examples include "midnight dumpers " who dispose of hazardous wastes without a permit. 59 A hazardous waste

  10. Clean Slate Environmental Remediation DSA for 10 CFR 830 Compliance

    Energy Technology Data Exchange (ETDEWEB)

    James L. Traynor, Stephen L. Nicolosi, Michael L. Space, Louis F. Restrepo

    2006-08-01

    Clean Slate Sites II and III are scheduled for environmental remediation (ER) to remove elevated levels of radionuclides in soil. These sites are contaminated with legacy remains of non-nuclear yield nuclear weapons experiments at the Nevada Test Site, that involved high explosive, fissile, and related materials. The sites may also hold unexploded ordnance (UXO) from military training activities in the area over the intervening years. Regulation 10 CFR 830 (Ref. 1) identifies DOE-STD-1120-98 (Ref. 2) and 29 CFR 1910.120 (Ref. 3) as the safe harbor methodologies for performing these remediation operations. Of these methodologies, DOE-STD-1120-98 has been superseded by DOE-STD-1120-2005 (Ref. 4). The project adopted DOE-STD-1120-2005, which includes an approach for ER projects, in combination with 29 CFR 1910.120, as the basis documents for preparing the documented safety analysis (DSA). To securely implement the safe harbor methodologies, we applied DOE-STD-1027-92 (Ref. 5) and DOE-STD-3009-94 (Ref. 6), as needed, to develop a robust hazard classification and hazards analysis that addresses non-standard hazards such as radionuclides and UXO. The hazard analyses provided the basis for identifying Technical Safety Requirements (TSR) level controls. The DOE-STD-1186-2004 (Ref. 7) methodology showed that some controls warranted elevation to Specific Administrative Control (SAC) status. In addition to the Evaluation Guideline (EG) of DOE-STD-3009-94, we also applied the DOE G 420.1 (Ref. 8) annual, radiological dose, siting criterion to define a controlled area around the operation to protect the maximally exposed offsite individual (MOI).

  11. Environmental Compliance Research for ONR 312OA At-Sea Experiments

    Science.gov (United States)

    2016-06-07

    Experiments 5a. CONTRACT NUMBER 5b. GRANT NUMBER 5c. PROGRAM ELEMENT NUMBER 6. AUTHOR(S) 5d. PROJECT NUMBER 5e. TASK NUMBER 5f. WORK UNIT...effort is to facilitate ONR 321 Ocean Acoustics Program at-sea experiments through the preparation of scientifically rigorous environmental compliance...develop mitigation measures. WORK COMPLETED For each experiment, the zones of influence for potential acoustic impacts on various marine species

  12. Environmental Assessment of Ground Water Compliance at the Naturita, Colorado, UMTRA Project Site

    Energy Technology Data Exchange (ETDEWEB)

    None

    2003-04-23

    This Environmental Assessment addresses the environmental effects of a proposed action and the no action alternative to comply with U.S. Environmental Protection Agency (EPA) ground water standards at the Naturita, Colorado, Uranium Mill Tailings Remedial Action Project site. In 1998, the U.S. Department of Energy (DOE) completed surface cleanup at the site and encapsulated the tailings in a disposal cell 15 miles northwest near the former town of Uravan, Colorado. Ground water contaminants of potential concern at the Naturita site are uranium and vanadium. Uranium concentrations exceed the maximum concentration limit (MCL) of 0.044 milligram per liter (mg/L). Vanadium has no MCL; however, vanadium concentrations exceed the EPA Region III residential risk-based concentration of 0.33 mg/L (EPA 2002). The proposed compliance strategy for uranium and vanadium at the Naturita site is no further remediation in conjunction with the application of alternate concentration limits. Institutional controls with ground water and surface water monitoring will be implemented for these constituents as part of the compliance strategy. This compliance strategy will be protective of human health and the environment. The proposed monitoring program will begin upon regulatory concurrence with the Ground Water Compliance Action Plan (DOE 2002a). Monitoring will consist of verifying that institutional controls remain in place, collecting ground water samples to verify that concentrations of uranium and vanadium are decreasing, and collecting surface water samples to verify that contaminant concentrations do not exceed a regulatory limit or risk-based concentration. If these criteria are not met, DOE would reevaluate the proposed action and determine the need for further National Environmental Policy Act documentation. No comments were received from the public during the public comment period. Two public meetings were held during this period. Minutes of these meetings are included as

  13. Pacific Northwest National Laboratory National Environmental Policy Act Compliance Program -- FY 2010 Annual Report

    Energy Technology Data Exchange (ETDEWEB)

    Weeks, Regan S.

    2011-04-20

    During fiscal year (FY) 2010, Pacific Northwest National Laboratory (PNNL) Environmental Protection and Regulatory Programs Division (before March 1, 2011 known as the Environmental Management Services Department) staff performed a number of activities as part of PNNL’s National Environmental Policy Act (NEPA) compliance program. These activities helped to verify U.S. Department of Energy (DOE) Pacific Northwest Site Office (PNSO) and Richland Operations Office (RL) compliance with NEPA requirements and streamline the NEPA process for federal activities conducted at PNNL. Self-assessments were performed to address NEPA compliance and cultural and biological resource protection. The NEPA self-assessments focused on implementation within the PNNL Energy and Environment Directorate and routine maintenance activities conducted during the previous calendar year. The cultural and biological resource self-assessments were conducted in accordance with the PNSO Cultural and Biological Resources Management Plan, which specifies annual monitoring of important resources to assess and document the status of the resources and the associated protective mechanisms in place to protect sensitive resources.

  14. Pacific Northwest National Laboratory National Environmental Policy Act Compliance Program -- FY 2010 Annual Report

    Energy Technology Data Exchange (ETDEWEB)

    Weeks, Regan S.

    2011-04-20

    During fiscal year (FY) 2010, Pacific Northwest National Laboratory (PNNL) Environmental Protection and Regulatory Programs Division (before March 1, 2011 known as the Environmental Management Services Department) staff performed a number of activities as part of PNNL’s National Environmental Policy Act (NEPA) compliance program. These activities helped to verify U.S. Department of Energy (DOE) Pacific Northwest Site Office (PNSO) and Richland Operations Office (RL) compliance with NEPA requirements and streamline the NEPA process for federal activities conducted at PNNL. Self-assessments were performed to address NEPA compliance and cultural and biological resource protection. The NEPA self-assessments focused on implementation within the PNNL Energy and Environment Directorate and routine maintenance activities conducted during the previous calendar year. The cultural and biological resource self-assessments were conducted in accordance with the PNSO Cultural and Biological Resources Management Plan, which specifies annual monitoring of important resources to assess and document the status of the resources and the associated protective mechanisms in place to protect sensitive resources.

  15. 45 CFR 12.10 - Compliance with the National Environmental Policy Act of 1969 and other related Acts...

    Science.gov (United States)

    2010-10-01

    ... Act of 1969 and other related Acts (environmental impact). 12.10 Section 12.10 Public Welfare... PROPERTY FOR PUBLIC HEALTH PURPOSES § 12.10 Compliance with the National Environmental Policy Act of 1969 and other related Acts (environmental impact). (a) The Department will, prior to making a...

  16. Assessment of public perception and environmental compliance at a pulp and paper facility: a Canadian case study.

    Science.gov (United States)

    Hoffman, Emma; Bernier, Meagan; Blotnicky, Brenden; Golden, Peter G; Janes, Jeffrey; Kader, Allison; Kovacs-Da Costa, Rachel; Pettipas, Shauna; Vermeulen, Sarah; Walker, Tony R

    2015-12-01

    Communities across Canada rely heavily on natural resources for their livelihoods. One such community in Pictou County, Nova Scotia, has both benefited and suffered, because of its proximity to a pulp and paper mill (currently owned by Northern Pulp). Since production began in 1967, there have been increasing impacts to the local environment and human health. Environmental reports funded by the mill were reviewed and compared against provincial and federal regulatory compliance standards. Reports contrasted starkly to societal perceptions of local impacts and independent studies. Most environmental monitoring reports funded by the mill indicate some levels of compliance in atmospheric and effluent emissions, but when compliance targets were not met, there was a lack of regulatory enforcement. After decades of local pollution impacts and lack of environmental compliance, corporate social responsibility initiatives need implementing for the mill to maintain its social licence to operate.

  17. 47 CFR 53.209 - Biennial audit.

    Science.gov (United States)

    2010-10-01

    ... 47 Telecommunication 3 2010-10-01 2010-10-01 false Biennial audit. 53.209 Section 53.209... PROVISIONS CONCERNING BELL OPERATING COMPANIES Separate Affiliate; Safeguards § 53.209 Biennial audit. (a) A... obtain and pay for a Federal/State joint audit every two years conducted by an independent auditor...

  18. Environmental compliance program FY 1999 multi-year work plan, WBS 1.8.2.3

    Energy Technology Data Exchange (ETDEWEB)

    Giese, K.A.

    1998-08-28

    The Environmental Compliance Program is developing and implementing a PHMC-wide chemical management system with the goal being to: (1) manage and control chemicals from procurement through use and final disposition; (2) develop and maintain procedures for identifying and evaluating hazards and environmental impacts present in facilities, and the hazard classification of the facilities. The US Department of Energy (DOE) may promulgate the final rule, 1 0 CFR 834, Radiation Protection of the Public and the Environment in FY 1999. This rule establishes controls for the release of radioactive material and limits for the amount of radiation exposure to the public and the environment. It will be applicable to activities of DOE contractors at the Hanford site. This rule is expected to replace the bulk of DOE Orders 5400.5, Radiation Protection of the Public and the Environment and 5400. 1, General Environmental Protection Program. In doing so, these Orders will be backed by the Price-Anderson enforcement procedures and carry penalties for non-compliance.

  19. Examining the Extent of Environmental Compliance Requirements on Mechatronic Products and Their Implementation through Product Lifecycle Management

    Science.gov (United States)

    Jovanovic, Vukica

    2010-01-01

    The present mixed-methods study examined the opinions of industry practitioners related to the implementation of environmental compliance requirements into design and manufacturing processes of mechatronic and electromechanical products. It focused on the environmental standards for mechatronic and electromechanical products and how Product…

  20. Examining the Extent of Environmental Compliance Requirements on Mechatronic Products and Their Implementation through Product Lifecycle Management

    Science.gov (United States)

    Jovanovic, Vukica

    2010-01-01

    The present mixed-methods study examined the opinions of industry practitioners related to the implementation of environmental compliance requirements into design and manufacturing processes of mechatronic and electromechanical products. It focused on the environmental standards for mechatronic and electromechanical products and how Product…

  1. ENVIRONMENTAL ASSESSMENT FOR THE NPDES STORM WATER COMPLIANCE ALTERNATIVES AT THE SRS

    Energy Technology Data Exchange (ETDEWEB)

    Shedrow, C

    2006-11-01

    The U.S. Department of Energy (DOE) prepared this environmental assessment (EA) to evaluate the potential environmental impacts associated with proposed and alternative actions to achieve water quality permit compliance at 38 storm water outfalls located at the Savannah River Site (SRS) (Figure 1-1). Effluent monitoring data indicates that some of these outfalls may not presently comply with new National Pollutant Discharge Elimination System (NPDES) Storm Water General Permit effluent standards that became effective July 1, 2005 (SCR000000). The NPDES permit requires that best management practices (BMPs) be implemented and maintained, as necessary, to ensure that storm water discharges at SRS do not cause or contribute to the contravention of applicable state water quality standards (WQS).

  2. Environmental Regulatory Compliance Plan for Site Characterization; Yucca Mountain Site, Nevada Research and Development Area, Nevada: Revision 1

    Energy Technology Data Exchange (ETDEWEB)

    NONE

    1988-12-01

    The DOE is committed to conduct its operations in an environmentally safe and sound manner, and will comply with applicable environmental statutes and regulations. These objectives are described in DOE Order 5400.1 (Environmental Protection Program Requirements). This document -- the Environmental Regulatory Compliance Plan (ERCP) -- is one method of implementing the policy set forth in DOE Order 5400.1 and the NWPA. The ERCP describes the plan by which the DOE will comply with applicable Federal environmental statutes and regulations. The ERCP also discusses how DOE will address State and local environmental statutes and regulations. 180 refs., 27 figs., 1 tab.

  3. Compliance of the Savannah River Site D-Area cooling system with environmental regulations

    Energy Technology Data Exchange (ETDEWEB)

    Specht, W.L.; Mackey, H.E.; Paller, M.H.; Wike, L.D.; Wilde, E.W. (eds.)

    1990-08-01

    This document presents information relating to a demonstration under Section 316(a) of the Clean Water Act for the 400-D Area cooling system at the Savannah River Site (SRS) near Aiken, South Carolina. The demonstration was mandated because the National Pollution Discharge Elimination System (NPDES) permit for SRS (SC0000175), granted on January 1, 1984, specified in-stream temperature limits in SRS streams of 32.2{degree}C and a {Delta}T limit of 2.8{degree}C above ambient. To achieve compliance with in-stream temperature limits, the Department of Energy (DOE) and the South Carolina Department of Health and Environmental Control (SCDHEC) entered into a Consent Order (84-4-W) which temporarily superseded the temperature requirements and identified a process for attaining compliance. The preferred option for achieving thermal compliance in Beaver Dam Creek consisted of increased flow, with mixing of the raw water basin overflow with the cooling water discharge during the summer months. Although this action can achieve instream temperatures of less than 32.2{degree}C, {Delta}T's still exceed 2.8{degree}C. Therefore, a 316 (a) Demonstration was initiated to determine whether a balanced indigenous biological community can be supported in the receiving stream with {Delta}T's in excess of 2.8{degree}C. A Biological Monitoring Program for Beaver Dam Creek was approved by SCDHEC in June 1988 and implemented in September 1988. The program monitored the water quality, habitat formers, zooplankton, macroinvertebrates, fish, other vertebrate wildlife and threatened and endangered species in Beaver Dam Creek for an 18-month period (September 1988-February 1990). This document summarizes information collected during the monitoring program and evaluates the data to determine whether Beaver Dam Creek presently supports a balanced indigenous biological community. 97 refs., 32 figs., 51 tabs.

  4. Regulatory Compliance and Environmental Benefit Analysis of Combined Heat and Power (CHP Systems in Taiwan

    Directory of Open Access Journals (Sweden)

    Wen-Tien Tsai

    2013-01-01

    Full Text Available The energy conservation achieved by utilizing waste heat in the energy and industrial sectors has became more and more important after the energy crisis in the 1970s because it plays a vital role in the potential energy-efficiency improvement. In this regard, cogeneration (combined heat and power, CHP systems are thus becoming attractive due to the energy, economic, and environmental policies for pursuing stable electricity supply, sustainable development and environmental pollution mitigation in Taiwan. The objective of this paper is to present an updated analysis of CHP systems in Taiwan during the period from 1990 to 2010. The description in the paper is thus based on an analysis of electricity supply/consumption and its sources from CHP systems during the past two decades, and centered on two important regulations in compliance with CHP systems (i.e., Energy Management Law and Environmental Impact Assessment Act. Based on the total net power generation from CHP systems (i.e., 35,626 GWh in 2011, it was found that the carbon dioxide reduction benefits were estimated to be around 20,000 Gg.

  5. Defending public interests in private lands: compliance, costs and potential environmental consequences of the Brazilian Forest Code in Mato Grosso.

    Science.gov (United States)

    Stickler, Claudia M; Nepstad, Daniel C; Azevedo, Andrea A; McGrath, David G

    2013-06-01

    Land-use regulations are a critical component of forest governance and conservation strategies, but their effectiveness in shaping landholder behaviour is poorly understood. We conducted a spatial and temporal analysis of the Brazilian Forest Code (BFC) to understand the patterns of regulatory compliance over time and across changes in the policy, and the implications of these compliance patterns for the perceived costs to landholders and environmental performance of agricultural landscapes in the southern Amazon state of Mato Grosso. Landholdings tended to remain in compliance or not according to their status at the beginning of the study period. The perceived economic burden of BFC compliance on soya bean and beef producers (US$3-5.6 billion in net present value of the land) may in part explain the massive, successful campaign launched by the farm lobby to change the BFC. The ecological benefits of compliance (e.g. greater connectivity and carbon) with the BFC are diffuse and do not compete effectively with the economic benefits of non-compliance that are perceived by landholders. Volatile regulation of land-use decisions that affect billions in economic rent that could be captured is an inadequate forest governance instrument; effectiveness of such regulations may increase when implemented in tandem with positive incentives for forest conservation.

  6. ICIS FE&C Compliance Monitoring Screens

    Data.gov (United States)

    U.S. Environmental Protection Agency — Web Based Training for Integrated Compliance Information System Updated Compliance Monitoring Training for ICIS Federal Enforcement and Compliance User. This...

  7. Geophysical Institute. Biennial report, 1993-1994

    Energy Technology Data Exchange (ETDEWEB)

    NONE

    1996-01-01

    The 1993-1994 Geophysical Institute Biennial Report was published in November 1995 by the Geophysical Institute of the University of Alaska Fairbanks. It contains an overview of the Geophysical Institute, the Director`s Note, and research presentations concerning the following subjects: Scientific Predictions, Space Physics, Atmospheric Sciences, Snow, Ice and Permafrost, Tectonics and Sedimentation, Seismology, Volcanology, Remote Sensing, and other projects.

  8. An Assessment of the 1983 "Biennial Survey."

    Science.gov (United States)

    McClure, Charles R.

    1985-01-01

    Assesses the value of the Government Printing Office's 1983 "Biennial Survey" as a tool to support depository library planning and decision making. The survey data are evaluated in terms of reliability, validity, and utility, and recommendations are offered for improving the design, administration, and analysis of the survey. (CLB)

  9. Trade restrictions as a means of enforcing compliance with international environmental law. Montreal Protocol on Substances that Deplete the Ozone Layer

    Energy Technology Data Exchange (ETDEWEB)

    Lang, W. [Vienna Univ. (Austria)

    1996-12-31

    The contribution reviews primarily Art. 4 of the Montreal Protocol and its efficiency for enforcing compliance with obligations under international environmental law and discusses aspects of possible conflicts with GATT law. (CB)

  10. ARES Biennial Report 2012 Final

    Science.gov (United States)

    Stansbery, Eileen

    2014-01-01

    serves as host to numerous students and visiting scientists as part of the services provided to the research community and conducts a robust education and outreach program. ARES scientists are recognized nationally and internationally by virtue of their success in publishing in peer-reviewed journals and winning competitive research proposals. ARES scientists have won every major award presented by the Meteoritical Society, including the Leonard Medal, the most prestigious award in planetary science and cosmochemistry; the Barringer Medal, recognizing outstanding work in the field of impact cratering; the Nier Prize for outstanding research by a young scientist; and several recipients of the Nininger Meteorite Award. One of our scientists received the Department of Defense (DoD) Joint Meritorious Civilian Service Award (the highest civilian honor given by the DoD). ARES has established numerous partnerships with other NASA Centers, universities, and national laboratories. ARES scientists serve as journal editors, members of advisory panels and review committees, and society officers, and several scientists have been elected as Fellows in their professional societies. This biennial report summarizes a subset of the accomplishments made by each of the ARES offices and highlights participation in ongoing human and robotic missions, development of new missions, and planning for future human and robotic exploration of the solar system beyond low Earth orbit.

  11. Performance, compliance and reliability of Waste stabilization pond: Effluent discharge quality and environmental protection agency standards in Ghana

    DEFF Research Database (Denmark)

    Owusu-Ansah, Emmanuel de-Graft Johnson; Sampson, Angelina; Amponsah, Samuel K.;

    2015-01-01

    tables using the Ghana Environmental Protection Agency (EPA) approved discharge values for physico-chemical and some biological parameters to account for these shortfalls on over reliance of EPA discharge standards. Probability distribution density function was applied on the lognormal distribution...... were used to establish the coefficient of reliability relationship depending on the coefficient of variation influenced by the standard of deviation. Discharge values of Physico-chemical Parameters measured from the WSP were found be performing acceptably based on the EPA standards, whereas only four...... of the TP were acceptable. Discharge Values of physico-chemical and biological parameters which are found to be accepted under comparison with EPA standards were found to have compliance levels below what is generally accepted for Waste Stabilization Ponds (WSP) designed compliance. Based...

  12. 75 FR 25032 - Biennial Review of the Progress of Cooperation Under the United States-Singapore Memorandum of...

    Science.gov (United States)

    2010-05-06

    ... Biennial Review of the Progress of Cooperation Under the United States-Singapore Memorandum of Intent on Cooperation in Environmental Matters and Suggestions for 2011-2012 U.S.-Singapore Plan of Action for... under the U.S.-Singapore Memorandum of Intent on Cooperation on Environmental Matters and...

  13. Compliance Framing - Framing Compliance

    OpenAIRE

    Lutz-Ulrich Haack; Martin C. Reimann

    2012-01-01

    Corporations have to install various organizational measures to comply with legal as well as internal guidelines systematically. Compliance management systems have the challenging task to make use of an internal compliance-marketing approach in order to ensure not only an adequate but also effective compliance-culture. Compliance-literature and findings of persuasive goal-framing-theory give opposite implications for establishing a rather values- versus rule-based compliance-culture respectiv...

  14. Preliminary Waste Form Compliance Plan for the Idaho National Engineering and Environmental Laboratory High-Level Waste

    Energy Technology Data Exchange (ETDEWEB)

    B. A. Staples; T. P. O' Holleran

    1999-05-01

    The Department of Energy (DOE) has specific technical and documentation requirements for high-level waste (HLW) that is to be placed in a federal repository. This document describes in general terms the strategy to be used at the Idaho National Engineering and Environmental Laboratory (INEEL) to demonstrate that vitrified HLW, if produced at the INEEL, meets these requirements. Waste form, canister, quality assurance, and documentation specifications are discussed. Compliance strategy is given, followed by an overview of how this strategy would be implemented for each specification.

  15. The role of integrated resource planning, environmental externalities, and anticipation of future regulation in compliance planning under the Clean Air Act Amendments of 1990

    Energy Technology Data Exchange (ETDEWEB)

    Bernow, S.; Biewald, B.; Wulfsberg, K. [Tellus Institute, Boston, MA (United States)

    1993-07-01

    Utilities are developing sulfur dioxide (SO{sub 2}) emission compliance plans to meet limitations of the Clean Air Act Amendments of 1990 (CAAA). Compliance plans will have long-term effects on resource selection, fuel choice, and system dispatch. Use of integrated resource planning (IRP) is necessary to ensure compliance plans are consistent with the overall societal goals. In particular, environmental externalities must be integrated with the compliance planning process. The focus of the CAAA is on air pollution reduction, specifically acid gases and toxics, and attainment of National Ambient Air Quality Standards (NAAQS) for criteria pollutants. Title IV specifically focuses on sulfur dioxide with a national allowance trading system, while further regulation of toxics and nitrogen oxides is slated for additional study. Yet, compliance planning based narrowly upon today`s environmental regulations could fail to meet the broad goals of IRP if a larger array of environmental externalities is excluded from the analysis. Compliance planning must consider a broad range of environmental effects from energy production and use to (1) protect society`s long-term stake in environmental quality, and (2) ensure that today`s plans are rich enough to accommodate potential changes in regulation and national environmental goals. The explicit recognition of environmental effects, such as those associated with CO{sub 2} release, will result in prudent compliance plans that take advantage of current opportunities for pollution avoidance and have long-term viability in the face of regulatory change. By including such considerations, the mix of resources acquired and operated (supply and demand, existing and new, conventional and renewable, fuel type and fuel quality, pollution control, and dispatch protocols) will be robust and truly least-cost.

  16. Current Problems of Improving the Environmental Certification and Output Compliance Verification in the Context of Environmental Management in Kazakhstan

    Science.gov (United States)

    Zhambaev, Yerzhan S.; Sagieva, Galia K.; Bazarbek, Bakhytzhan Zh.; Akkulov, Rustem T.

    2016-01-01

    The article discusses the issues of improving the activity of subjects of environmental management in accordance with international environmental standards and national environmental legislation. The article deals with the problem of ensuring the implementation of international environmental standards, the introduction of eco-management, and the…

  17. Major weapon system environmental life-cycle cost estimating for Conservation, Cleanup, Compliance and Pollution Prevention (C3P2)

    Science.gov (United States)

    Hammond, Wesley; Thurston, Marland; Hood, Christopher

    1995-01-01

    The Titan 4 Space Launch Vehicle Program is one of many major weapon system programs that have modified acquisition plans and operational procedures to meet new, stringent environmental rules and regulations. The Environmental Protection Agency (EPA) and the Department of Defense (DOD) mandate to reduce the use of ozone depleting chemicals (ODC's) is just one of the regulatory changes that has affected the program. In the last few years, public environmental awareness, coupled with stricter environmental regulations, has created the need for DOD to produce environmental life-cycle cost estimates (ELCCE) for every major weapon system acquisition program. The environmental impact of the weapon system must be assessed and budgeted, considering all costs, from cradle to grave. The Office of the Secretary of Defense (OSD) has proposed that organizations consider Conservation, Cleanup, Compliance and Pollution Prevention (C(sup 3)P(sup 2)) issues associated with each acquisition program to assess life-cycle impacts and costs. The Air Force selected the Titan 4 system as the pilot program for estimating life-cycle environmental costs. The estimating task required participants to develop an ELCCE methodology, collect data to test the methodology and produce a credible cost estimate within the DOD C(sup 3)P(sup 2) definition. The estimating methodology included using the Program Office weapon system description and work breakdown structure together with operational site and manufacturing plant visits to identify environmental cost drivers. The results of the Titan IV ELCCE process are discussed and expanded to demonstrate how they can be applied to satisfy any life-cycle environmental cost estimating requirement.

  18. Quasi-biennial oscillation above 10 mb

    Science.gov (United States)

    Baldwin, Mark P.; Dunkerton, Timothy J.

    1991-01-01

    It is shown that the quasi-biennial oscillation of the equatorial lower stratosphere was correlated with mean zonal wind in the upper stratosphere, 1979-1990. Correlations were positive near 60 deg N and 30 deg S during Northern Hemisphere (NH) winter and negative in the equatorial upper stratosphere during all seasons. Spatial autocorrelation of mean zonal wind during NH winter was actually largest in the upper stratosphere, between 10 deg S and 62 deg N, due to strong coupling between tropical and extratropical flow at upper levels.

  19. Trade restrictions as viable means of enforcing compliance with international environmental law: an economic assessment

    Energy Technology Data Exchange (ETDEWEB)

    Kirchgaessner, G. [SIASR-HSG, St. Gallen (Switzerland); Mohr, E. [IWOe-HSG, St. Gallen (Switzerland)

    1996-12-31

    The contribution addresses some general problems of trade restrictions and the established international or national regimes of restrictions and sanctions, the role of environmental treaties and agreements, and issues of the debt-environmental treaty link-up.(CB)

  20. UNESCO-UNEVOC in Action: Biennial Report 2012-2013

    Science.gov (United States)

    UNESCO-UNEVOC International Centre for Technical and Vocational Education and Training, 2014

    2014-01-01

    This biennial report provides a comprehensive overview of UNESCO-UNEVOC's activities in technical and vocational education and training in 2012-2013. It illustrates UNESCO-UNEVOC's contributions to the UNESCO 36 C/5 sectoral priorities and programmatic objectives. Specifically, UNESCO-UNEVOC contributed to the biennial sectoral priority in…

  1. Achieving compliance with environmental health-related land use planning conditions in Hong Kong: perspectives from traditional motivation theories.

    Science.gov (United States)

    Man, Rita Li Yi

    2009-11-01

    Environmental health-related land use planning conditions can enhance the environment in Hong Kong. Previous research by others has shown, however, that a lack of compliance with planning conditions often occurs. And as no direct enforcement of planning conditions exists in Hong Kong, it is of interest to understand possible ways in which to increase the motivation of land developers and property owners to comply with planning conditions. The author looked at motivation from the perspective of three traditional motivation theories: Theory X, Theory Y, and incentive theory. While the majority of this article focuses on the enforcement and the legal tests in land use planning conditions, it also presents the results of the first study of the motivations behind Hong Kong land developers to comply with land use planning conditions.

  2. Why does environmental compliance cost more than penalty?-A legal analysis on environmental acts of enterprises in China

    Institute of Scientific and Technical Information of China (English)

    DONG Hongwei

    2007-01-01

    In the environmental protection field of China,due to"lower law-breaking cost but higher law-abiding cost",it is a common case that the enterprise chooses to break through the law on purpose.The punishment to the unlawful practices by the law directly decides the law-breaking cost of the enterprise,furthermore,influences the willingness to abide by the law and the trend to break through the law.The law-breaking cost of enterprises is jointly decided by the administrative liability,civil liability and criminal liability.However,in China,the enterprises breaking through the law are mainly penalized for the administrative liabilities,focusing less on the civil compensation liability on the environmental damage and criminal liabilities on the environmental crimes.Nevertheless,a complete environmental liability system is composed by administrative punishment,civil compensation and criminal sanction,none of which is dispensable.There fore,the three layers defense could be established on punishing and deterring the environmental law-breakers.Considering all three aspects,administrative liability,civil liability and criminal liability,this paper analyzes the systemic disadvan tages of the current environmental administrative punishment,civil compensation and criminal sanction in China,and inves tigates the legitimate reasons for the higher law-abiding cost compared with the law-breaking cost,and it is finalized with the measures and suggestions to solve this problem.

  3. BUSINESS RISK MANAGEMENT AND ENVIRONMENTAL COMPLIANCE: A REVIEW OF SHELL OIL SPILLS IN SYDNEY HARBOUR AUSTRALIA

    OpenAIRE

    Ika Putri Larasati

    2011-01-01

    A business risk has been an inherent part of companies’ activities nowadays. It relates to threats and opportunities which make a majority of companies manage the risk. The business risk also has been concerned by public particularly in term of environmental risk. A failure to manage the environment may result in negative reactions from public. The negative reactions are predicaments for company’s economy. Therefore, companies have also considered the significance of the environmental risk ma...

  4. Compliance after 17 years of breast cancer screening

    NARCIS (Netherlands)

    Scaf-Klomp, W.; van Sonderen, F.L.P.; van den Heuvel, W.J.A.

    1997-01-01

    The motives and reasons for regular attendance, irregular attendance and drop-out were studied in women who were enrolled in a biennial breast cancer screening programme in 1975 and who were invited to each subsequent screening round until 1992. Three compliance groups were compared: 'attended all r

  5. BUSINESS RISK MANAGEMENT AND ENVIRONMENTAL COMPLIANCE: A REVIEW OF SHELL OIL SPILLS IN SYDNEY HARBOUR AUSTRALIA

    Directory of Open Access Journals (Sweden)

    Ika Putri Larasati

    2011-10-01

    Full Text Available A business risk has been an inherent part of companies’ activities nowadays. It relates to threats and opportunities which make a majority of companies manage the risk. The business risk also has been concerned by public particularly in term of environmental risk. A failure to manage the environment may result in negative reactions from public. The negative reactions are predicaments for company’s economy. Therefore, companies have also considered the significance of the environmental risk management. An example of these companies is Shell Oil Company which suffered environmental issue in 1999. Accordingly, this paper aims to evaluate the risk management conducted by the Shell Company which focuses on company’s effort to maintain good relationship with stakeholders in its environmental risk management. There were determinant factors in the successful risk management. The first factor is an efficient and effective implementation of risk management cycle. Secondly, a practice of risk management phase. The third factor is effective social activities. The fourth factor is a significance of risk management application since the establishment of company. The fifth factor is an importance of efficient and effective communication with stakeholders. Finally, a substantial contribution from media is prominent aspect in company’s risk management.

  6. Environmental Compliance Assessment and Management System (ECAMP), U.S. Air Force - German Supplement

    Science.gov (United States)

    1993-10-01

    level course of study in the fields of tion, experience, and engineering, chemistry , physics, or environmental technology, and dependability (6. - has...Koernerbock corn beetle *Melanophila picta Geffeckter Zaharand- spotted tooth-legged ftachtlcaefer metallic beetle *Meloe autumnalis Blauschimmernder...L. Finger-Steinbrech finger breakstone Scheuchzeria palustris L. Blasenbinse blow rush * Scilla morrisii Meikle Morris’ Blaustemn Morris’ bluebell

  7. EPA Enforcement and Compliance History Online

    Data.gov (United States)

    U.S. Environmental Protection Agency — The Environmental Protection Agency's Enforcement and Compliance History Online (ECHO) website provides customizable and downloadable information about environmental...

  8. Cross compliance GAEC standards implemented in Italy: environmental effectiveness and strategic perspectives

    Directory of Open Access Journals (Sweden)

    Paolo Bazzoffi

    2011-08-01

    Full Text Available The debate on the future of the Common Agricultural Policy (CAP, which is growing at European and National level, is notably and closely linked to the choices of EU related to the financial perspectives for the period 2014-2010. A public consultation on such topic has been started off by the EU Agriculture Commissioner Dacian Cioloş, who has left for the moment the two dossiers aside, giving priority to the identification of the agricultural policy post-2013 objectives. The debate on the new CAP reform, starting from the always ancient but modern general objectives which remained unchanged with the Lisbon Treaty, is now subject to an in-depth analysis and revision to identify new specific objectives in the wider framework of the European strategy 2010 identified by the EU executive body. However, the future outlooks can not neglect the need for stocktaking and what has been learned through the present and recent past experiences. In order to focus the theme of this special issue of the Italian Journal of Agronomy, we must remember that on 26th June 2003, EU farm ministers adopted a fundamental reform of the CAP and introduced a new single payment scheme (SPS, or Single Farm Payment intended to change the way the EU supported its farm sector by removing the link between subsidies and production of specific crops. The Single Farm Payment is linked to meeting environmental, public, animal and plant health and animal welfare standards and the need to keep land in good agricultural and environmental condition. To gain funds from the SPS the Farmer has to cross comply - that is, to farm in an environmentally friendly way. COUNCIL REGULATION (EC No 1782/2003 states that: Member States shall define, at national or regional level, minimum requirements for good agricultural and environmental condition on the basis of the framework set up in Annex IV, taking into account the specific characteristics of the areas concerned, including soil and climatic

  9. The Setup of Packaging Development Targeted at Source Reduction and Environmental Regulatory Compliance

    Directory of Open Access Journals (Sweden)

    Visvaldas Varžinskas

    2016-10-01

    Full Text Available Permanent growth of packaging waste has a negative environmental effect. Therefore, volume and content of packaging are being regulated by relevant legislation. In 1994, the European Union (EU adopted the Directive on Packaging and Packaging Waste (94/62/EC (subsequently – the Directive, which set the environmental requirements for packaging but did not precisely specify the methods of their implementation. The related harmonised standards EN 13427-13432 partly filled in the gap, but a number of questions have been still left without due explanations. The EU countries were supposed to develop their own legislation, which should have been complemented with the elements that have not been elaborated on the EU level. This task appeared to be complicated for many countries for various reasons, including economic. The cost of implementation of the Directive can be high for a country, especially if it is not done carefully. As a result, the state of implementation of the Directive by the EU countries remains non-uniform. Only a few countries have fully implemented it, while others have just transferred the requirements into their own legislation, but have not implemented the obligatory enforcement measures. A big variety of packaging source reduction policies exist in the EU, which have been developed by the Member States trying to fit them to the country’s situation in terms of legislation, institutional infrastructure, conduct of the industry, etc. For this reason, their transfer from one country to another is problematic. Therefore, this study aims to develop a cost-efficient structure of the packaging development process to be applied by both the industry and state enforcement institutions and to fit into the context typical for Lithuania.DOI: http://dx.doi.org/10.5755/j01.erem.72.2.16101

  10. Environmental permit tracking and compliance: Central Artery/Tunnel Project, Boston, MA

    Energy Technology Data Exchange (ETDEWEB)

    Forbush, L. (BSC Group, Boston, MA (United States))

    1993-01-01

    The Central Artery/Tunnel (CA/T) Project in Boston, Massachusetts involves the replacement of the existing I-93 interstate highway (Central Artery) and the extension of I-90 (Massachusetts Turnpike) to Logan International Airport. To date, approximately 95 environmental and related permits have been obtained for the CA/T Project. At least 200 permits from federal, state and local regulatory agencies will be acquired for the entire Project. The proposed action includes construction activities and permanent structures related to the crossing of three bodies of water: Charles River, Fort Point Channel, and Boston Inner Harbor. The Project also includes work in Massachusetts filled tidelands, relocation or construction of outfalls, disposition of construction dewatering and tunnel drainage fluids, and capping of an abandoned landfill. The number of permits, interrelationships between permits and interfaces with design and construction schedules have necessitated the development and implementation of a permit tracking system. The system tracks permit applications from preparation through public and agency review to permit issuance. The issues are discussed in detail: Phased development of the tracking system; Utilization of Project standard scheduling system software, Primavera Project Planner; How the information generated by the tracking system is used at the Project; Report format and production; Construction phase services and the multidiscipline, integrated Project schedule.

  11. DOE Hydropower Program biennial report 1992--1993 (with an updated annotated bibliography)

    Energy Technology Data Exchange (ETDEWEB)

    Cada, G.F.; Sale, M.J. [Oak Ridge National Lab., TN (United States); Francfort, J.E.; Rinehart, B.N.; Sommers, G.L. [EG and G Idaho, Inc., Idaho Falls, ID (United States)

    1993-07-01

    This report, the latest in a series of annual/biennial Hydropower Program reports sponsored by the US Department of Energy, summarizes the research and development and technology transfer activities of fiscal years 1992 and 1993. The report discusses the activities in the four areas of the hydropower program: Environmental research; resource assessment; research coat shared with industry; and technology transfer. The report also offers an annotated bibliography of reports pertinent to hydropower, written by persons in Federal and state agencies, cities, metropolitan water districts, irrigation companies, and public and independent utilities. Most reports are available from the National Technical Information Service.

  12. DOE Hydropower Program biennial report 1994--1995 with an updated annotated bibliography

    Energy Technology Data Exchange (ETDEWEB)

    Rinehart, B.N.; Francfort, J.E.; Sommers, G.L. [Lockheed Idaho Technologies Co., Idaho Falls, ID (United States); Cada, G.F.; Sale, M.J. [Oak Ridge National Lab., TN (United States)

    1995-05-01

    This report, the latest in a series of annual/biennial Hydropower Program reports sponsored by the US Department of Energy, summarizes the research and development and technology transfer activities of fiscal years 1994 and 1995. The report discusses the activities in the four areas of the hydropower program: Environmental Research; Resource Assessment; Research Cost-Shared with Industry; and Technology Transfer. The report also includes an annotated bibliography of reports pertinent to hydropower, written by the staff of the Idaho National Engineering Laboratory, Oak Ridge National Laboratory, Federal and state agencies, cities, metropolitan water districts, irrigation companies, and public and independent utilities. Most reports are available from the National Technical Information Service.

  13. Experience gained from using water and steam for bringing the operation of aircraft- and marine-derivative gas-turbine engines in compliance with environmental standards

    Science.gov (United States)

    Datsenko, V. V.; Zeigarnik, Yu. A.; Kosoi, A. S.

    2014-04-01

    Practical experience gained from using water and steam admission into the combustion chambers of aircraft- and marine-derivative gas turbines for bringing their operation in compliance with the requirements of environmental standards is described. The design and schematic modifications of combustion chambers and fuel system through which this goal is achieved are considered. The results obtained from industrial and rig tests of combustion chambers fitted with water or steam admission systems are presented.

  14. Spatial Patterns of Tropospheric Biennial Oscillation and Its Numerical Simulation

    Institute of Scientific and Technical Information of China (English)

    ZHENG Bin; GU Dejun; LIN Ailan; LI Chunhui

    2008-01-01

    In order to investigate the spatial patterns of the Tropospheric Biennial Oscillation(TBO)on the global scale,the Climate Prediction Center(CPC)Merged Analysis of Precipitation(CMAP)monthly averaged precipitation and the Climate Diagnostics Center(CDC)monthly outgoing long-wave radiation(OLR)and SST are used in conjunction with TBO bandpass-filtering.The results indicate active biennial variability in the tropical eastern-central Pacific regions.It iS evident that observations reflect the biennial component of the ENSO rather than the TBO itself.Since some studies have pointed out that the TBO iS a broad.scale phenomenon differing from the ENSO,to investigate the pure TBO the ENSO signal must be excluded.The Scale Interaction Experiment-FRCGC(SINTEX-F)coupled general circulation model(CGCM)developed at Japan Frontier Research Center for Global Change (FRCGC)can capture both the ENSO and the biennial signals.Air-sea interactions in the tropical eastern-central Pacific are decoupled to eliminate the effects of ENS0 in a experiment by SINTEX-F and the results show that biennial variability still exists even without ENSO.It seems to mean that the TBO and ENSO are independent from each other.Furthermore.the model results indicate that the two key regions are southwest Sumatra and the tropical western Pacific for the TBO cycle.

  15. 77 FR 22679 - Magnuson-Stevens Act Provisions; Fisheries off West Coast States; Biennial Specifications and...

    Science.gov (United States)

    2012-04-17

    ... Fishery Management Plan (FMP), are intended to allow fisheries to access more abundant groundfish stocks... Provisions; Fisheries off West Coast States; Biennial Specifications and Management Measures; Inseason... (NOAA), Commerce. ACTION: Final rule; inseason adjustments to biennial groundfish management...

  16. 77 FR 24634 - Magnuson-Stevens Act Provisions; Fisheries off West Coast States; Biennial Specifications and...

    Science.gov (United States)

    2012-04-25

    ... Fishery Management Plan (FMP), is intended to allow fisheries to access more abundant groundfish stocks... Provisions; Fisheries off West Coast States; Biennial Specifications and Management Measures; Inseason... (NOAA), Commerce. ACTION: Final rule; inseason adjustments to biennial groundfish management...

  17. 20 Years of the MENC Biennial Conference: A Content Analysis

    Science.gov (United States)

    Palkki, Joshua; Albert, Daniel J.; Hill, Stuart Chapman; Shaw, Ryan D.

    2016-01-01

    The purpose of this study was to investigate the content and intended audiences for educational sessions offered at MENC biennial conferences in order to illuminate trends and topics in professional development. The researchers performed a content analysis of each session (N?= 2,593) using program booklets from conferences between 1988 and 2008,…

  18. The biennial life strategy in a random environment

    NARCIS (Netherlands)

    Roerdink, J.B.T.M.

    1988-01-01

    A discrete-time population model with two age classes is studied which describes the growth of biennial plants in a randomly varying environment. A fraction of the oldest age class delays its flowering each year. The solution of the model involves products of random matrices. We calculate the exact

  19. 20 Years of the MENC Biennial Conference: A Content Analysis

    Science.gov (United States)

    Palkki, Joshua; Albert, Daniel J.; Hill, Stuart Chapman; Shaw, Ryan D.

    2016-01-01

    The purpose of this study was to investigate the content and intended audiences for educational sessions offered at MENC biennial conferences in order to illuminate trends and topics in professional development. The researchers performed a content analysis of each session (N?= 2,593) using program booklets from conferences between 1988 and 2008,…

  20. Environmental Compliance Guide. Guidance manual for Department of Energy compliance with the Clean Water Act: National Pollutant Discharge Elimination System (NPDES)

    Energy Technology Data Exchange (ETDEWEB)

    1982-07-01

    This manual provides general guidance for Department of Energy (DOE) officials for complying with Sect. 402 of the Clean Water Act (CWA) of 1977 and amendments. Section 402 authorizes the US Environmental Protection Agency (EPA) or states with EPA approved programs to issue National Pollutant Discharge Elimination System (NPDES) permits for the direct discharge of waste from a point source into waters of the United States. Although the nature of a project dictates the exact information requirements, every project has similar information requirements on the environmental setting, type of discharge(s), characterization of effluent, and description of operations and wastewater treatment. Additional information requirements for projects with ocean discharges, thermal discharges, and cooling water intakes are discussed. Guidance is provided in this manual on general methods for collecting, analyzing, and presenting information for an NPDES permit application. The NPDES program interacts with many sections of the CWA; therefore, background material on pertinent areas such as effluent limitations, water quality standards, toxic substances, and nonpoint source pollutants is included in this manual. Modifications, variances, and extensions applicable to NPDES permits are also discussed.

  1. Review of NESREA Act 2007 and Regulations 2009-2011: A New Dawn in Environmental Compliance and Enforcement in Nigeria - Country Legislation

    Directory of Open Access Journals (Sweden)

    Muhammed Tawfiq Ladan

    2012-06-01

    Full Text Available Nigeria’s formal environmental regime has developed significantly from humble beginnings. Having been initiated in the colonial period during which environmental issues were generally couched within public health regulation, and having developed in a rather ad hoc manner in the early days of independence during which heavy reliance was placed on the law of nuisance, Nigeria now has a relatively comprehensive environmental regime. This regime is administered by an array of institutions. This paper reveals that Nigeria now has relatively comprehensive environmental legal and institutional regimes adequately empowered to ensure effective compliance, monitoring and enforcement of all relevant treaties, legislation and regulations for sustainable development and conservation of natural resources in Nigeria. The NESREA Act 2007 and Regulations 2009-11 were instruments of necessity having learnt lessons from the drawbacks of its predecessor agency between 1991-2007. This review aims at providing an overview of a comprehensive environmental legislation in most recent times for effective protection of the environment, management of biodiversity and promotion of sustainable development in Nigeria. It further seeks to provide an overview of the unprecedented development in Nigeria’s environmental law by the coming into force of twenty-four environmental regulations made by the Federal Minister of Environment.

  2. Compliance after 17 years of breast cancer screening - Factors associated with reattendance for periodic breast screening

    NARCIS (Netherlands)

    ScafKlomp, W; VanSonderen, E; VandenHeuvel, W

    1997-01-01

    The motives and reasons for regular attendance, irregular attendance and drop-out were studied in women who were enrolled in a biennial breast screening programme in 1975 and who were invited to each subsequent screening round until 1992. Three compliance groups were compared: 'attended all rounds'

  3. DOE Hydropower Program biennial report 1996-1997 (with an updated annotated bibliography)

    Energy Technology Data Exchange (ETDEWEB)

    Rinehart, B.N.; Francfort, J.E.; Sommers, G.L. [Lockheed Idaho Technologies Co., Idaho Falls, ID (United States); Cada, G.F.; Sale, M.J. [Oak Ridge National Lab., TN (United States)

    1997-06-01

    This report, the latest in a series of biennial Hydropower Program reports sponsored by the US Department of Energy, summarizes the research and development and technology transfer activities of fiscal years 1996 and 1997. The report discusses the activities in the six areas of the hydropower program: advanced hydropower turbine systems; environmental research; hydropower research and development; renewable Indian energy resources; resource assessment; and technology transfer. The report also includes an annotated bibliography of reports pertinent to hydropower, written by the staff of the Idaho National Engineering and Environmental Laboratory, Oak Ridge National Laboratory, Federal and state agencies, cities, metropolitan water districts, irrigation companies, and public and independent utilities. Most reports are available from the National Technical Information Service.

  4. EPA Enforcement and Compliance History Online: Water Effluent Charts Summaries

    Data.gov (United States)

    U.S. Environmental Protection Agency — Summary of compliance status each outfall and parameter for one Clean Water Act discharge permit. Provides the current compliance status and overall compliance...

  5. Mobile Source Emissions Regulatory Compliance Data

    Data.gov (United States)

    U.S. Environmental Protection Agency — The Engine and Vehicle Compliance Certification and Fuel Economy Inventory contains measured emissions and fuel economy compliance information for all types of...

  6. Clean Air Markets - Compliance Query Wizard

    Data.gov (United States)

    U.S. Environmental Protection Agency — The Compliance Query Wizard is part of a suite of Clean Air Markets-related tools that are accessible at http://ampd.epa.gov/ampd/. The Compliance module provides...

  7. Mobile Source Emissions Regulatory Compliance Data Inventory

    Data.gov (United States)

    U.S. Environmental Protection Agency — The Mobile Source Emissions Regulatory Compliance Data Inventory data asset contains measured summary compliance information on light-duty, heavy-duty, and non-road...

  8. U.S. Environmental Protection Agency Office of Enforcement and Compliance Assurance New Mapping Tool for Enforcement Cases

    Data.gov (United States)

    U.S. Environmental Protection Agency — The new mapping tool shows facilities in the United States where the EPA concluded formal environmental enforcement actions between October 1, 2008 and September...

  9. U.S. Environmental Protection Agency Office of Enforcement and Compliance Assurance New Mapping Tool for Enforcement Cases

    Data.gov (United States)

    U.S. Environmental Protection Agency — The new mapping tool shows facilities in the United States where the EPA concluded formal environmental enforcement actions between October 1, 2008 and September 30,...

  10. Environmental justice implications of arsenic contamination in California's San Joaquin Valley: a cross-sectional, cluster-design examining exposure and compliance in community drinking water systems.

    Science.gov (United States)

    Balazs, Carolina L; Morello-Frosch, Rachel; Hubbard, Alan E; Ray, Isha

    2012-11-14

    Few studies of environmental justice examine inequities in drinking water contamination. Those studies that have done so usually analyze either disparities in exposure/harm or inequitable implementation of environmental policies. The US EPA's 2001 Revised Arsenic Rule, which tightened the drinking water standard for arsenic from 50 μg/L to 10 μg/L, offers an opportunity to analyze both aspects of environmental justice. We hypothesized that Community Water Systems (CWSs) serving a higher proportion of minority residents or residents of lower socioeconomic status (SES) have higher drinking water arsenic levels and higher odds of non-compliance with the revised standard. Using water quality sampling data for arsenic and maximum contaminant level (MCL) violation data for 464 CWSs actively operating from 2005-2007 in California's San Joaquin Valley we ran bivariate tests and linear regression models. Higher home ownership rate was associated with lower arsenic levels (ß-coefficient= -0.27 μg As/L, 95% (CI), -0.5, -0.05). This relationship was stronger in smaller systems (ß-coefficient = -0.43, CI, -0.84, -0.03). CWSs with higher rates of homeownership had lower odds of receiving an MCL violation (OR, 0.33; 95% CI, 0.16, 0.67); those serving higher percentages of minorities had higher odds (OR, 2.6; 95% CI, 1.2, 5.4) of an MCL violation. We found that higher arsenic levels and higher odds of receiving an MCL violation were most common in CWSs serving predominantly socio-economically disadvantaged communities. Our findings suggest that communities with greater proportions of low SES residents not only face disproportionate arsenic exposures, but unequal MCL compliance challenges.

  11. Air Compliance Complaint Database (ACCD)

    Data.gov (United States)

    U.S. Environmental Protection Agency — THIS DATA ASSET NO LONGER ACTIVE: This is metadata documentation for the Region 7 Air Compliance Complaint Database (ACCD) which logs all air pollution complaints...

  12. Integrated Compliance Information System (ICIS)

    Data.gov (United States)

    U.S. Environmental Protection Agency — The purpose of ICIS is to meet evolving Enforcement and Compliance business needs for EPA and State users by integrating information into a single integrated data...

  13. 40 CFR 503.2 - Compliance period.

    Science.gov (United States)

    2010-07-01

    ... 40 Protection of Environment 29 2010-07-01 2010-07-01 false Compliance period. 503.2 Section 503.2 Protection of Environment ENVIRONMENTAL PROTECTION AGENCY (CONTINUED) SEWAGE SLUDGE STANDARDS FOR THE USE OR DISPOSAL OF SEWAGE SLUDGE General Provisions § 503.2 Compliance period. (a) Compliance with the standards...

  14. Radiological environmental dose assessment methods and compliance dose results for 2015 operations at the Savannah River Site

    Energy Technology Data Exchange (ETDEWEB)

    Jannik, G. T. [Savannah River Site (SRS), Aiken, SC (United States). Savannah River National Lab. (SRNL); Dixon, K. L. [Savannah River Site (SRS), Aiken, SC (United States). Savannah River National Lab. (SRNL)

    2016-09-01

    This report presents the environmental dose assessment methods and the estimated potential doses to the offsite public from 2015 Savannah River Site (SRS) atmospheric and liquid radioactive releases. Also documented are potential doses from special-case exposure scenarios - such as the consumption of deer meat, fish, and goat milk.

  15. Radiological environmental dose assessment methods and compliance dose results for 2015 operations at the savannah river site

    Energy Technology Data Exchange (ETDEWEB)

    Jannik, G. T. [Savannah River Site (SRS), Aiken, SC (United States). Savannah River National Lab. (SRNL); Dixon, K. L. [Savannah River Site (SRS), Aiken, SC (United States). Savannah River National Lab. (SRNL)

    2016-09-01

    This report presents the environmental dose assessment methods and the estimated potential doses to the offsite public from 2015 Savannah River Site (SRS) atmospheric and liquid radioactive releases. Also documented are potential doses from special-case exposure scenarios - such as the consumption of deer meat, fish, and goat milk.

  16. Environmental effectiveness of GAEC cross-compliance Standard 3.1 ‘Ploughing in good soil moisture conditions’ and economic evaluation of the competitiveness gap for farmers

    Directory of Open Access Journals (Sweden)

    Rosa Francaviglia

    2015-11-01

    Full Text Available Within the MO.NA.CO. Project the environmental effectiveness of GAEC cross-compliance Standard 3.1 ‘Ploughing in good soil moisture conditions’ was evaluated, as well as the economic evaluation of the competitiveness gap for farmers which conform or do not conform to cross-compliance. The monitoring has been carried out at nine experimental farms with different pedoclimatic characteristics, where some indicators of soil structure degradation have been evaluated, such as bulk density, packing density and surface roughness of the seedbed, and the crop productive and qualitative parameters. In each monitoring farm two experimental plots have been set up: factual with soil tillage at proper water content (tilth, counterfactual with soil tillage at inadequate water content (no tilth. The monitoring did not exhibit univocal results for the different parameters, thus the effectiveness of the Standard 3.1 is ‘contrasting’ (class of merit B, and there was an evident practical problem to till the soil at optimum water content, even in controlled experimental condition. Bulk density was significantly lower in the factual treatment although in soils with very different textures (sandy-loam and clayey. Packing density (PD showed a high susceptibility to compaction in soils with low PD and medium texture. The tortuosity index, indicating the roughness of the seedbed, was lower and generally significantly different in the factual treatment. Results showed that the ploughing done in excessive soil moisture conditions is more expensive due to the increased force of traction of the tractor, which causes an increase in slip of the tractor wheels, with a speed reduction and increase in the working times and fuel consumption. Moreover, the crop yield is also reduced considerably according to the cultivated species.

  17. Annual Site Environmental Report

    Energy Technology Data Exchange (ETDEWEB)

    Holden, Gene

    1999-09-23

    This report provides information about environmental programs and compliance with environmental regulations in calendar year 1998 (CY98) at the Stanford Linear Accelerator Center (SLAC). The most significant information in this report is summarized in the following sections: (1) Environmental Compliance--Section 2 contains the complete Environmental Compliance information; (2) Environmental Non-Radiological Program--Section 3 contains the complete Environmental Non-Radiological information; and (3) Environmental Radiological Program--Section 4 contains the complete Environmental Radiological information.

  18. 40 CFR 160.12 - Statement of compliance or non-compliance.

    Science.gov (United States)

    2010-07-01

    ... 40 Protection of Environment 23 2010-07-01 2010-07-01 false Statement of compliance or non-compliance. 160.12 Section 160.12 Protection of Environment ENVIRONMENTAL PROTECTION AGENCY (CONTINUED... non-compliance. Any person who submits to EPA an application for a research or marketing permit...

  19. Performing compliance

    DEFF Research Database (Denmark)

    Wimmelmann, Camilla Lawaetz

    2017-01-01

    the local policy workers front-staged some practices in the implementation process and back-staged others. The local policy workers deliberately performed ‘guideline compliance’ by using information control and impression management techniques. The findings suggest that local guideline compliance should......Guidelines are increasingly used to regulate how local authorities engage in practices. Focusing on the Danish national health promotion guidelines, this article reveals that the local policy workers did not implement the guidelines as proposed. Using a dramaturgical framework, it illustrates how...... be regarded as a staged performance in which deliberate techniques are used to produce and manage certain impressions of compliance....

  20. Handwashing compliance.

    Science.gov (United States)

    Antoniak, Jeannie

    2004-09-01

    Undeniably, handwashing remains the single most effective and cost-efficient method for preventing and reducing the transmission of nosocomial infections. Yet the rates and outbreaks of nosocomial infections in Canadian and international healthcare institutions continue to increase. Shaikh Khalifa Medical Center developed and implemented a multidisciplinary approach to address the challenges of handwashing compliance among nurses and healthcare workers in its workplace setting. Supported by evidence-based research, the approach consisted of three components: collaboration, implementation and evaluation. The use of the alcohol-based hand rub sanitizer or "solution" was integral to the multidisciplinary approach. Ongoing education, communication and a committed leadership were essential to promote and sustain handwashing compliance.

  1. Quasi-biennial modulation of the Antarctic ozone depletion

    Science.gov (United States)

    Lait, Leslie R.; Schoeberl, Mark R.; Newman, Paul A.

    1989-01-01

    The quasi-biennial oscillation (QBO) in total ozone and temperature has been extracted from 9 years of Total Ozone Mapping Spectrometer (TOMS) observations and National Meteorological Center (NMC) analyses. Years in which QBO-related variations in the total ozone and temperature are positive are found to correspond to years with smaller September Antarctic total ozone hole decline rates and vice versa. The QBO appears to be responsible for September decline rate deviations up to 0.4 Dobson units (DU) per day. Also, the QBO at mid-latitudes appears to be better correlated with the 30-mbar tropical QBO winds than with those at 50 mbar. Possible mechanisms that would explain these phenomena are discussed.

  2. The Epilepsy Foundation's 4th Biennial Epilepsy Pipeline Update Conference.

    Science.gov (United States)

    French, Jacqueline A; Schachter, Steven C; Sirven, Joseph; Porter, Roger

    2015-05-01

    On June 5 and 6, 2014, the Epilepsy Foundation held its 4th Biennial Epilepsy Pipeline Update Conference, an initiative of the Epilepsy Therapy Project, which showcased the most promising epilepsy innovations from health-care companies and academic laboratories dedicated to pioneering and advancing drugs, biologics, technologies, devices, and diagnostics for epilepsy. Speakers and attendees included emerging biotech and medical technology companies, major pharmaceutical and device companies, as well as investigators and innovators at the cutting-edge of epilepsy. The program included panel discussions on collaboration between small and large companies, how to get products in need of funding to the marketplace, who is currently funding epilepsy and CNS innovation, and how the NIH facilitates early-stage drug development. Finally, the conference featured the third annual "Shark Tank" competition. The presentations are summarized in this paper, which is followed by a compilation of the meeting poster abstracts. Copyright © 2015 Elsevier Inc. All rights reserved.

  3. North Pacific Decadal Variability: Insights from a Biennial ENSO Environment

    Science.gov (United States)

    Achuthavarier, Deepthi; Schubert, Siegfried D.; Vikhliaev, Yury V.

    2016-01-01

    This study examines the mechanisms of the Pacific decadal oscillation (PDO) in the NASA GEOS-5 general circulation model (GCM). Similar to several other state-of-the-art GCMs, the El Niño-Southern Oscillation (ENSO) simulated by the GEOS-5 has a strong biennial periodicity. Since this is a model bias that precludes a strong role of ENSO, it provides a unique environment to assess the other leading mechanisms of North Pacific decadal variability. Despite the biennial ENSO periodicity, the model simulates a realistic PDO pattern in the North Pacific that is resolved as the first empirical orthogonal function (EOF) of winter mean sea surface temperature (SST). The spectrum of the PDO indicates no preferred periodicity. The SST anomalies associated with the PDO, particularly its basin wide structure, are primarily forced by the Aleutian low through Ekman transport. The slow geostrophic transport in association with the meridional adjustment of the subtropical gyre is limited to a narrow region in the Kuroshio-Oyashio extension, north of 40degN. The atmosphere's response to the PDO, while weak, projects onto the North Pacific Oscillation (NPO), a meridional dipole in sea level pressure. Both the lack of preferred periodicity and the weak atmospheric response indicate an air-sea coupled oscillation is an unlikely mechanism in this model. In agreement with recent studies, the NPO is correlated with the North Pacific Gyre Oscillation, which is another leading EOF of North Pacific SST variability. The results emphasize the role of atmospheric variability in the North Pacific SST modes, thereby bringing into question the potential for their predictability.

  4. The world's water 2000-2001: the biennial report on freshwater resources

    National Research Council Canada - National Science Library

    Gleick, Peter H

    2000-01-01

    Produced biennially, the World's Water is the most comprehensive and up-to-date source of information and analysis on freshwater resources and the political, economic, scientific, and technological...

  5. Environmental Compliance and Profitable Steelmaking%符合环保要求和盈利的炼钢

    Institute of Scientific and Technical Information of China (English)

    Jens Apfel; Torsten Doninger; 张武城

    2011-01-01

    巴登钢厂多年来采用了环境保护管理理念.致力于减少钢厂向大气、水和土壤中的排放,而且还开发了诸如钢渣、灰尘、氧化铁皮回收作为副产品.这些理念的成功可以看到巴登钢厂的排放值很低,也从副产品回收得到利润.其他诸如减少噪音和检测来自废钢并进入钢铁制造过程中的放射源,这个问题越来越引起钢铁界重视.根据25年来钢铁行业环保的工作经验,巴登钢铁工程公司可以提供这些环保的服务和钢厂环保优化的实施解决方案,以满足环境保护要求,避免昂贵的环保失误.阐述了无需任何降低生产率而减少钢铁企业排放的做法.并介绍了欧洲和世界各地的环保标准.%These concepts deal with the reduction of emissions to air water and soil, but also with the recycling of all by products from steel making like slag, dust, scale and some others. The success of these concepts can be seen by the very low emission values of BSW and also the profit derived from the recycling of by-products. Other ideas have been worked out to minimize noise emissions and to detect radioactive sources which are coming together with the scrap into the steel making process. Operation of a steel plant on a very high productivity level is the basic for high efficiency and low cost. Beside the traditional key figures of a steelmaker we realize all over the world, that the stakeholders can no longer ignore the environmental standards. Especially the off-gas has a huge impact on a "clean" production. If we look at the present debates, it is clear for the industry that one of the challenges will be the reduction of global greenhouse gases. Badische Stahlwerke GmbH (BSW), one of the most productive Mini Mills in the world, reached more than 2. 2 million tons of good billets in 2008 operating with two conventional 90-ton electric arc furnaces (EAF). For more than 20 years BSW has been working hard to reduce their gaseous emissions

  6. A possible mechanism to cause the quasi-biennial variability on the solar neutrino flux

    Science.gov (United States)

    Sakurai, K.; Hasegawa, M.

    1985-01-01

    It is suggested that the quasi-biennial change in the observed flux of the solar neutrinos is causally related to some non-linear process at the central core of the Sun, being associated with the charge in the central temperature. This process seems to be responsible for the physical adjustment of the internal structure of the Sun. Numerical simulation on this process is able to reproduce the quasi-biennial change in the flux of these neutrinos.

  7. Environmental Compliance Assessment System (ECAS).

    Science.gov (United States)

    1993-03-01

    of numerous types and sizes of pollution-producing plants involving such varied products and substances as: fertilizers, textiles, aluminum products...pollution. These include: particulate matters, brom- ine and its compounds, aluminum and its compounds, vanadium and its com- pounds, manganese and...place shall be enclosed using screen or container-box. Water-cleaning shall be done as often as possible. Deodorants shall be sprayed. Wastewater from

  8. Environmental Compliance Assessment System (ECAS)

    Science.gov (United States)

    1994-08-01

    NUMBER SUBSTANCE ASIL g~g/24-h AVERAGE 100-42-5 Styrene 716.0 1395-21-7 Subtilisins 0.0 3689-24-5 Sulfotep 0.7 2551-62-4 Sulfur hexafluonde 19980.0...Washington State Department of Ecology. "* Dermal LD/50 - the single dosage in milligram per kilogram body weight which, when dermally applied for 24...perpendicular intersection 2. the right-of-way is controlled by the property owner and is inaccessible to the public. " Oral LD/50 - the single dosage in

  9. Environmental Compliance Assessment System (ECAS)

    Science.gov (United States)

    1994-02-01

    GUTHION 2 FLOWABLE SLN GA-810031 NEMACUR 3 TURF NEMATICIDE 3125-283 MONITOR 4 LIQUID 3125-280 DASANIT SPRAY 3125-163 CONCENTRATE INSECT BAYTHROID 2...EMULSIFIABLE 3125-351 PYRETHROID BOLSTAR 6 EMULSIFIABLE 3125-321 INSECTICIDE FURADAN 15G INSECTICIDE 279-3023-3125 NEMATICIDE FURADAN 4F INSECTICIDE 279-2876...2548-63 DETIA GA EX-B 2548-59 WEEVIL-CIDE TABLETS 59209-1-2548 WEEVIL-CIDE PELLETS 59209-2-2548 RHONE-POULENC MOCAP 15% NEMATICIDE 264-457 MOCAP 10

  10. 40 CFR 52.1335 - Compliance schedules.

    Science.gov (United States)

    2010-07-01

    ... 40 Protection of Environment 4 2010-07-01 2010-07-01 false Compliance schedules. 52.1335 Section 52.1335 Protection of Environment ENVIRONMENTAL PROTECTION AGENCY (CONTINUED) AIR PROGRAMS (CONTINUED... Effective date Final compliance date Pilot Knob Pelleting Co Pilot Knob, MO V(10 CSR 10-3.050) Oct. 19,...

  11. 40 CFR 63.403 - Compliance dates.

    Science.gov (United States)

    2010-07-01

    ... 40 Protection of Environment 9 2010-07-01 2010-07-01 false Compliance dates. 63.403 Section 63.403 Protection of Environment ENVIRONMENTAL PROTECTION AGENCY (CONTINUED) AIR PROGRAMS (CONTINUED) NATIONAL... Hazardous Air Pollutants for Industrial Process Cooling Towers § 63.403 Compliance dates. The...

  12. 40 CFR 63.1545 - Compliance dates.

    Science.gov (United States)

    2010-07-01

    ... 40 Protection of Environment 12 2010-07-01 2010-07-01 true Compliance dates. 63.1545 Section 63.1545 Protection of Environment ENVIRONMENTAL PROTECTION AGENCY (CONTINUED) AIR PROGRAMS (CONTINUED... for Hazardous Air Pollutants for Primary Lead Smelting § 63.1545 Compliance dates. (a) Each owner...

  13. 40 CFR 264.96 - Compliance period.

    Science.gov (United States)

    2010-07-01

    ....96 Protection of Environment ENVIRONMENTAL PROTECTION AGENCY (CONTINUED) SOLID WASTES (CONTINUED) STANDARDS FOR OWNERS AND OPERATORS OF HAZARDOUS WASTE TREATMENT, STORAGE, AND DISPOSAL FACILITIES Releases From Solid Waste Management Units § 264.96 Compliance period. (a) The Regional Administrator...

  14. Enforcement and Compliance History Online (ECHO) Facilities

    Data.gov (United States)

    U.S. Environmental Protection Agency — ECHO provides integrated compliance and enforcement information for about 800,000 regulated facilities nationwide. Its features range from simple to advanced,...

  15. A comparison of different regulatory approaches, analysis of the relative benefits of command and control, reflexive law and social licensing in ensuring oil industry compliance with environmentally sustainable practices and obligations

    Science.gov (United States)

    Ghanaati, Sahar

    This paper explores the relative benefits of command and control, reflexive law and social licensing in ensuring oil industry compliance with environmentally sustainable practices and obligations. Recognizing why oil sands and their development are significant, the background and development are reviewed first, and then the focus is shifted to look at its economics including the benefits, uncertainties and environmental costs of development. This paper examines how lawmakers in Canada have failed to meet their respective obligation. Drawing on environmental provisions, case law and legal scholars’ articles, books and reports, this paper examines the very problematic issue of oil sands regulation. It proposes to provide an in depth analysis of each regulatory forms and their application to the oil sands. It concludes that in order to solve the oil sands regulation challenges, a collaborative stringent enforcement of regulation from both federal and provincial governments, oil industry and public Pressure is required.

  16. EPA Enforcement and Compliance History Online: ICIS-NPDES Limit

    Data.gov (United States)

    U.S. Environmental Protection Agency — Integrated Compliance Information System (ICIS) National Pollutant Discharge Elimination System (NPDES) Permit Limits data set for Clean Water Act permitted...

  17. 44 CFR 354.5 - Description of site-specific, plume pathway EPZ biennial exercise-related component services and...

    Science.gov (United States)

    2010-10-01

    ... exercise logistics. (4) Conduct plume pathway EPZ biennial exercises, evaluations, and post exercise...-exercise logistics for other than the plume pathway EPZ. (5) Conduct other than plume pathway EPZ biennial... perform other functions at EMI, conferences and workshops. (23) Any other costs that we incur resulting...

  18. 77 FR 46374 - National Poultry Improvement Plan; General Conference Committee Meeting and 41st Biennial Conference

    Science.gov (United States)

    2012-08-03

    ... Animal and Plant Health Inspection Service National Poultry Improvement Plan; General Conference... of the National Poultry Improvement Plan (NPIP) and the NPIP's 41st Biennial Conference. DATES: The..., National Poultry Improvement Plan, VS, APHIS, 1506 Klondike Road, Suite 300, Conyers, GA 30094-5173,...

  19. 75 FR 23222 - National Poultry Improvement Plan; General Conference Committee Meeting and 40th Biennial Conference

    Science.gov (United States)

    2010-05-03

    ... Animal and Plant Health Inspection Service National Poultry Improvement Plan; General Conference... of the National Poultry Improvement Plan (NPIP) and the NPIP's 40th Biennial Conference. DATES: The.... Andrew R. Rhorer, Senior Coordinator, National Poultry Improvement Plan, VS, APHIS, 1498 Klondike...

  20. 76 FR 77914 - Agricultural Bioterrorism Protection Act of 2002; Biennial Review and Republication of the Select...

    Science.gov (United States)

    2011-12-15

    ... submit comments. DATES: The comment period for the proposed rule published October 3, 2011 (76 FR 61228... INFORMATION: On October 3, 2011, we published in the Federal Register (76 FR 61228-61244, Docket No. APHIS...-AD09 Agricultural Bioterrorism Protection Act of 2002; Biennial Review and Republication of the...

  1. 75 FR 44724 - Agricultural Bioterrorism Protection Act of 2002; Biennial Review and Republication of the Select...

    Science.gov (United States)

    2010-07-29

    ...-AD09 Agricultural Bioterrorism Protection Act of 2002; Biennial Review and Republication of the Select... accordance with the Agricultural Bioterrorism Protection Act of 2002, we are soliciting public comment... and Bioterrorism Preparedness and Response Act of 2002 provides for the regulation of...

  2. Biennial Survey of Education, 1920-1922. Volume I. Bulletin, 1924, No. 13

    Science.gov (United States)

    Bureau of Education, Department of the Interior, 1924

    1924-01-01

    Volume I of the Biennial Survey of Education for the years 1920-1922 contains the following chapters: (1) A survey of public school finance in the United States (Fletcher H. Swift); (2) Some important school legislation, 1921 and 1922 (William R. Hood); (3) Higher education (George F. Zook; (4) Significant movements in city school systems (W. S.…

  3. A cluster-based approach as an effective way to implement the ECAP (Environmental Compliance Action Program): evidence from some good practices

    OpenAIRE

    Tiberio Daddi; Francesco Testa; Fabio Iraldo

    2009-01-01

    SMEs can have a considerable impact on the environment. This is not necessarily through individual pressure, but through their combined total impact across environmental sectors. Most SMEs are ‘vulnerably compliant’, especially due to lack of awareness concering the environmental impacts of their own activities, ignorance of environmental legislation, lack of capacity to tackle their environmental impacts. Within this framework, the networking approach known as the “cluster approach” and, esp...

  4. Tools for NEPA compliance: Baseline reports and compliance guides

    Energy Technology Data Exchange (ETDEWEB)

    Wolff, T.A. [Sandia National Labs., Albuquerque, NM (United States); Hansen, R.P. [Hansen Environmental Consultants, Englewood, CO (United States)

    1994-12-31

    Environmental baseline documents and NEPA compliance guides should be carried in every NEPA implementation ``tool kit``. These two indispensable tools can play a major role in avoiding repeated violations of NEPA requirements that have occurred over the past 26 years. This paper describes these tools, discusses their contents, and explains how they are used to prepare better NEPA documents more cost-effectively. Focus is on experience at Sandia Laboratories (NM).

  5. Environmental justice implications of arsenic contamination in California’s San Joaquin Valley: a cross-sectional, cluster-design examining exposure and compliance in community drinking water systems

    Science.gov (United States)

    2012-01-01

    Background Few studies of environmental justice examine inequities in drinking water contamination. Those studies that have done so usually analyze either disparities in exposure/harm or inequitable implementation of environmental policies. The US EPA’s 2001 Revised Arsenic Rule, which tightened the drinking water standard for arsenic from 50 μg/L to 10 μg/L, offers an opportunity to analyze both aspects of environmental justice. Methods We hypothesized that Community Water Systems (CWSs) serving a higher proportion of minority residents or residents of lower socioeconomic status (SES) have higher drinking water arsenic levels and higher odds of non-compliance with the revised standard. Using water quality sampling data for arsenic and maximum contaminant level (MCL) violation data for 464 CWSs actively operating from 2005–2007 in California’s San Joaquin Valley we ran bivariate tests and linear regression models. Results Higher home ownership rate was associated with lower arsenic levels (ß-coefficient= −0.27 μg As/L, 95% (CI), -0.5, -0.05). This relationship was stronger in smaller systems (ß-coefficient= −0.43, CI, -0.84, -0.03). CWSs with higher rates of homeownership had lower odds of receiving an MCL violation (OR, 0.33; 95% CI, 0.16, 0.67); those serving higher percentages of minorities had higher odds (OR, 2.6; 95% CI, 1.2, 5.4) of an MCL violation. Conclusions We found that higher arsenic levels and higher odds of receiving an MCL violation were most common in CWSs serving predominantly socio-economically disadvantaged communities. Our findings suggest that communities with greater proportions of low SES residents not only face disproportionate arsenic exposures, but unequal MCL compliance challenges. PMID:23151087

  6. Environmental justice implications of arsenic contamination in California’s San Joaquin Valley: a cross-sectional, cluster-design examining exposure and compliance in community drinking water systems

    Directory of Open Access Journals (Sweden)

    Balazs Carolina L

    2012-11-01

    Full Text Available Abstract Background Few studies of environmental justice examine inequities in drinking water contamination. Those studies that have done so usually analyze either disparities in exposure/harm or inequitable implementation of environmental policies. The US EPA’s 2001 Revised Arsenic Rule, which tightened the drinking water standard for arsenic from 50 μg/L to 10 μg/L, offers an opportunity to analyze both aspects of environmental justice. Methods We hypothesized that Community Water Systems (CWSs serving a higher proportion of minority residents or residents of lower socioeconomic status (SES have higher drinking water arsenic levels and higher odds of non-compliance with the revised standard. Using water quality sampling data for arsenic and maximum contaminant level (MCL violation data for 464 CWSs actively operating from 2005–2007 in California’s San Joaquin Valley we ran bivariate tests and linear regression models. Results Higher home ownership rate was associated with lower arsenic levels (ß-coefficient= −0.27 μg As/L, 95% (CI, -0.5, -0.05. This relationship was stronger in smaller systems (ß-coefficient= −0.43, CI, -0.84, -0.03. CWSs with higher rates of homeownership had lower odds of receiving an MCL violation (OR, 0.33; 95% CI, 0.16, 0.67; those serving higher percentages of minorities had higher odds (OR, 2.6; 95% CI, 1.2, 5.4 of an MCL violation. Conclusions We found that higher arsenic levels and higher odds of receiving an MCL violation were most common in CWSs serving predominantly socio-economically disadvantaged communities. Our findings suggest that communities with greater proportions of low SES residents not only face disproportionate arsenic exposures, but unequal MCL compliance challenges.

  7. Environmental strategy

    DEFF Research Database (Denmark)

    Zabkar, Vesna; Cater, Tomaz; Bajde, Domen

    2013-01-01

    perspective, appropriate environmental strategies in compliance with environmental requirements aim at building competitive advantages through sustainable development. There is no universal “green” strategy that would be appropriate for each company, regardless of its market requirements and competitive...... situations. Instead, managers undertake careful consideration of the circumstances in which their company operates, paying special attention to their customers’ environmental preferences....

  8. Deadline Compliance Status Reports

    Data.gov (United States)

    Department of Housing and Urban Development — These monthly Deadline Compliance Status Reports assist Participating Jurisdictions and HUD Field Offices in monitoring compliance with the 2-year commitment and...

  9. Environmental Factor{trademark} system: RCRA hazardous waste handler information

    Energy Technology Data Exchange (ETDEWEB)

    NONE

    1999-03-01

    Environmental Factor{trademark} RCRA Hazardous Waste Handler Information on CD-ROM unleashes the invaluable information found in two key EPA data sources on hazardous waste handlers and offers cradle-to-grave waste tracking. It`s easy to search and display: (1) Permit status, design capacity and compliance history for facilities found in the EPA Resource Conservation and Recovery Information System (RCRIS) program tracking database; (2) Detailed information on hazardous wastes generation, management and minimization by companies who are large quantity generators, and (3) Data on the waste management practices of treatment, storage and disposal (TSD) facilities from the EPA Biennial Reporting System which is collected every other year. Environmental Factor`s powerful database retrieval system lets you: (1) Search for RCRA facilities by permit type, SIC code, waste codes, corrective action or violation information, TSD status, generator and transporter status and more; (2) View compliance information -- dates of evaluation, violation, enforcement and corrective action; (3) Lookup facilities by waste processing categories of marketing, transporting, processing and energy recovery; (4) Use owner/operator information and names, titles and telephone numbers of project managers for prospecting; and (5) Browse detailed data on TSD facility and large quantity generators` activities such as onsite waste treatment, disposal, or recycling, offsite waste received, and waste generation and management. The product contains databases, search and retrieval software on two CD-ROMs, an installation diskette and User`s Guide. Environmental Factor has online context-sensitive help from any screen and a printed User`s Guide describing installation and step-by-step procedures for searching, retrieving and exporting. Hotline support is also available for no additional charge.

  10. Environmental effectiveness of GAEC cross-compliance standard 2.2 "Maintaining the level of soil organic matter through crop rotation" and economic evaluation of the competitiveness gap for farmers

    Directory of Open Access Journals (Sweden)

    Lamberto Borrelli

    2015-11-01

    Full Text Available Within the Project MO.NA.CO was evaluated the Environmental effectiveness of GAEC cross-compliance standard 2.2 “Maintaining the level of soil organic matter through crop rotation” and economic evaluation of the competitiveness gap for farmers who support or not the cross-compliance regime. The monitoring was performed in nine experimental farms of the Council for Agricultural Research and Economics (CREA distributed throughout Italy and with different soil and climatic conditions. Were also evaluated the soil organic matter and some yield parameters, in a cereal monocropping (treatment counterfactual and a two-year rotation cereal-legume or forage (treatment factual. The two-years application of the standard “crop rotations” has produced contrasting results with regards to the storage of soil organic matter through crop rotation and these were not sufficient to demonstrate a statistically significant effect of treatment in any of the farms considered in monitoring, only in those farms subjected to more years of monitoring was recorded only a slight effect of the standard as a trend. The variations of organic matter in soils in response to changes in the culture technique or in the management of the soil may have long lag times and two years of time are not sufficient to demonstrate the dynamics of SOM associated with the treatment, also in consideration of the large inter annual variability recorded in different monitored sites.

  11. UV-visible marker confirms that environmental persistence of Clostridium difficile spores in toilets of patients with C. difficile-associated diarrhea is associated with lack of compliance with cleaning protocol.

    Directory of Open Access Journals (Sweden)

    Papetti Selena

    2008-05-01

    Full Text Available Abstract Background An ultraviolet visible marker (UVM was used to assess the cleaning compliance of housekeeping staff for toilets in a tertiary healthcare setting. Methods The UVM was applied to the toilets of patients who were on isolation precautions due to Clostridium difficile-associated diarrhea (CDAD as well as for patients who were not on isolation precautions. Cleaning was visually scored using a numeric system where 0, 1, 2, and 3 represented; no, light, moderate or heavy residual UVM. Rodac plates containing CDMN selective agar were used to test for the presence of C. difficile on the surfaces of patient's toilets. Results Despite twice daily cleaning for the toilets of patients who were on CDAD isolation precautions, the average cleaning score was 1.23 whereas the average cleaning score for toilets of patients not on isolation precautions was 0.9. Even with optimal cleaning (UVM score of 0 C. difficile was detected from 33% of the samples taken from toilets of patients with CDAD (4% detection in toilet samples from patients who had diarrhea not due to CDAD. Conclusion Our data demonstrated the value of UVM for monitoring the compliance of housekeeping staff with the facility's toilet cleaning protocol. In addition to providing good physical cleaning action, agents with some sporicidal activity against C. difficile may be needed to effectively reduce the environmental reservoir.

  12. DOE Hydropower Program Biennial Report for FY 2005-2006

    Energy Technology Data Exchange (ETDEWEB)

    Sale, Michael J. [Oak Ridge National Lab. (ORNL), Oak Ridge, TN (United States); Cada, Glenn F. [Oak Ridge National Lab. (ORNL), Oak Ridge, TN (United States); Acker, Thomas L. [National Renewable Energy Lab. (NREL), Golden, CO (United States); Northern Arizona State Univ., Flagstaff, AZ (United States); Carlson, Thomas [Pacific Northwest National Lab. (PNNL), Richland, WA (United States); Dauble, Dennis D. [Pacific Northwest National Lab. (PNNL), Richland, WA (United States); Hall, Douglas G. [Idaho National Lab. (INL), Idaho Falls, ID (United States)

    2006-07-01

    This report describes the progress of the R&D conducted in FY 2005-2006 the under four program areas at the time: (1) Advanced Hydropower Technology (Large Turbine Field Testing, Water Use Optimization, and Improved Mitigation Practices); (2) Supporting Research and Testing (Environmental Performance Testing Methods, Computational and Physical Modeling, Instrumentation and Controls, and Environmental Analysis); (3) Systems Integration and Technology Acceptance (Hydro/Wind Integration, National Hydropower Collaborative, and Integration and Communications); and (4) Supporting Engineering and Analysis (Valuation Methods and Assessments and Characterization of Innovative Technology).

  13. Support for Society for Marine Mammalogy 2015 Biennial Conference

    Science.gov (United States)

    2015-09-30

    Environmental Laboratory, NOAA) on Climate Change • Drs. Beth Shapiro (University of California Santa Cruz) and Karina Acevedo-Whitehouse (Autonomous...Marcia McNutt – Editor in Chief, Science • David Malakoff – editor, Science • Ken Weiss, freelance Pulitzer prize winning journalist IMPACT

  14. M and c'99 : Mathematics and computation, reactor physics and environmental analysis in nuclear applications, Madrid, September 27-30, 1999

    Energy Technology Data Exchange (ETDEWEB)

    Aragones, J. M.; Ahnert, C.; Cabellos, O.

    1999-07-01

    The international conference on mathematics and computation, reactor physics and environmental analysis in nuclear applications in the biennial topical meeting of the mathematics and computation division of the American Nuclear Society. (Author)

  15. Modifications of the Quasi-biennial Oscillation by a Geoengineering Perturbation of the Stratospheric Aerosol Layer

    Science.gov (United States)

    Aquila, V.; Garfinkel, C. I.; Newman, P. A.; Oman, L. D.; Waugh, D. W.

    2014-01-01

    This paper examines the impact of geoengineering via stratospheric sulfate aerosol on the quasi-biennial oscillation (QBO) using the NASA Goddard Earth Observing System (GEOS-5) Chemistry Climate Model. We performed four 30-year simulations with a continuous injection of sulfur dioxide on the equator at 0 degree longitude. The four simulations differ by the amount of sulfur dioxide injected (5Tg per year and 2.5 Tg per year) and the altitude of the injection (16km-25km and 22km-25km). We find that such an injection dramatically alters the quasi-biennial oscillation, prolonging the phase of easterly shear with respect to the control simulation. In the case of maximum perturbation, i.e. highest stratospheric aerosol burden, the lower tropical stratosphere is locked into a permanent westerly QBO phase. This locked QBO westerly phase is caused by the increased aerosol heating and associated warming in the tropical lower stratosphere.

  16. The Quasi-Biennial Vertical Oscillations at Global GPS Stations: Identification by Ensemble Empirical Mode Decomposition

    Directory of Open Access Journals (Sweden)

    Yuanjin Pan

    2015-10-01

    Full Text Available Modeling nonlinear vertical components of a GPS time series is critical to separating sources contributing to mass displacements. Improved vertical precision in GPS positioning at stations for velocity fields is key to resolving the mechanism of certain geophysical phenomena. In this paper, we use ensemble empirical mode decomposition (EEMD to analyze the daily GPS time series at 89 continuous GPS stations, spanning from 2002 to 2013. EEMD decomposes a GPS time series into different intrinsic mode functions (IMFs, which are used to identify different kinds of signals and secular terms. Our study suggests that the GPS records contain not only the well-known signals (such as semi-annual and annual signals but also the seldom-noted quasi-biennial oscillations (QBS. The quasi-biennial signals are explained by modeled loadings of atmosphere, non-tidal and hydrology that deform the surface around the GPS stations. In addition, the loadings derived from GRACE gravity changes are also consistent with the quasi-biennial deformations derived from the GPS observations. By removing the modeled components, the weighted root-mean-square (WRMS variation of the GPS time series is reduced by 7.1% to 42.3%, and especially, after removing the seasonal and QBO signals, the average improvement percentages for seasonal and QBO signals are 25.6% and 7.5%, respectively, suggesting that it is significant to consider the QBS signals in the GPS records to improve the observed vertical deformations.

  17. Environmental effectiveness of the cross compliance standard 4.6 ‘Minimum livestock stocking rates and/or appropriate regimens’

    Directory of Open Access Journals (Sweden)

    Lucia Sepe

    2015-12-01

    Full Text Available The paper presents the main results of the monitoring on the effectiveness of the cross compliance standard 4.6 ‘Minimum livestock stocking rates and/or appropriate regimes’ carried out in two case studies within the project MO.NA.CO: sheep grazing in medium-rich pastures in southern Apennines and in the plain of Sardinia, Italy. The monitoring involved aspects related to soil, flora, livestock and economics (competitiveness differential. The study showed, although in the short term, that the minimum stocking rate 0.2 LU/ha/year was not effective and, conversely, the effectiveness of the maximum level of stocking rate (4 LU/ha for the maintenance of the habitat. The generalization in applying minimum and maximum rate, not taking into account the climatic conditions, forage resources or farming system (including the species of grazing animal may lead to a serious nullification of the conditions of the Standard. The authors recommend to identify homogeneous areas and eligible specific stocking rates from all Italian regions, also considering the animal species.

  18. DOE Hydropower Program Biennial Report for FY 2005-2006

    Energy Technology Data Exchange (ETDEWEB)

    Sale, Michael J [ORNL; Cada, Glenn F [ORNL; Acker, Thomas L. [Northern Arizona State University and National Renewable Energy Laboratory; Carlson, Thomas [Pacific Northwest National Laboratory (PNNL); Dauble, Dennis D. [Pacific Northwest National Laboratory (PNNL); Hall, Douglas G. [Idaho National Laboratory (INL)

    2006-07-01

    SUMMARY The U.S. Department of Energy (DOE) Hydropower Program is part of the Office of Wind and Hydropower Technologies, Office of Energy Efficiency and Renewable Energy. The Program's mission is to conduct research and development (R&D) that will increase the technical, societal, and environmental benefits of hydropower. The Department's Hydropower Program activities are conducted by its national laboratories: Idaho National Laboratory (INL) [formerly Idaho National Engineering and Environmental Laboratory], Oak Ridge National Laboratory (ORNL), Pacific Northwest National Laboratory (PNNL), and National Renewable Energy Laboratory (NREL), and by a number of industry, university, and federal research facilities. Programmatically, DOE Hydropower Program R&D activities are conducted in two areas: Technology Viability and Technology Application. The Technology Viability area has two components: (1) Advanced Hydropower Technology (Large Turbine Field Testing, Water Use Optimization, and Improved Mitigation Practices) and (2) Supporting Research and Testing (Environmental Performance Testing Methods, Computational and Physical Modeling, Instrumentation and Controls, and Environmental Analysis). The Technology Application area also has two components: (1) Systems Integration and Technology Acceptance (Hydro/Wind Integration, National Hydropower Collaborative, and Integration and Communications) and (2) Supporting Engineering and Analysis (Valuation Methods and Assessments and Characterization of Innovative Technology). This report describes the progress of the R&D conducted in FY 2005-2006 under all four program areas. Major accomplishments include the following: Conducted field testing of a Retrofit Aeration System to increase the dissolved oxygen content of water discharged from the turbines of the Osage Project in Missouri. Contributed to the installation and field testing of an advanced, minimum gap runner turbine at the Wanapum Dam project in Washington

  19. Evaluation of environmental and economic effectiveness of the Cross Compliance 4.3 Standards "Maintenance of olive groves and vineyards in good vegetative conditions"

    Directory of Open Access Journals (Sweden)

    Luigi Sansone

    2015-11-01

    Full Text Available This paper reports the first observations made in three farms of the Council for Agricultural Research and Economics (CREA relating to the environmental monitoring of the standard 4.3 maintenance of olive groves and vineyards in good vegetative conditions and analysis of differential of competitiveness  for both crops.

  20. Mapping Tax Compliance

    DEFF Research Database (Denmark)

    Boll, Karen

    2014-01-01

    Tax compliance denotes the act of reporting and paying taxes in accordance with the tax laws. Current social science scholarship on tax compliance can almost entirely be divided into behavioural psychology analyses and critical tax studies. This article, which presents two cases of how tax...... that studies tax compliance where it takes place as well as what it is made of. Consequently, this article argues that tax compliance is a socio-material assemblage and that complying is a distributed action. The article concludes by highlighting how an ANT approach contributes to the further theoretical...

  1. 40 CFR 145.12 - Requirements for compliance evaluation programs.

    Science.gov (United States)

    2010-07-01

    ... for compliance evaluation programs. (a) State programs shall have procedures for receipt, evaluation... 40 Protection of Environment 22 2010-07-01 2010-07-01 false Requirements for compliance evaluation programs. 145.12 Section 145.12 Protection of Environment ENVIRONMENTAL PROTECTION AGENCY (CONTINUED)...

  2. 40 CFR 501.16 - Requirements for compliance evaluation programs.

    Science.gov (United States)

    2010-07-01

    ... § 501.16 Requirements for compliance evaluation programs. State sludge management programs shall have... 40 Protection of Environment 29 2010-07-01 2010-07-01 false Requirements for compliance evaluation programs. 501.16 Section 501.16 Protection of Environment ENVIRONMENTAL PROTECTION AGENCY...

  3. 40 CFR 716.1 - Scope and compliance.

    Science.gov (United States)

    2010-07-01

    ... 40 Protection of Environment 30 2010-07-01 2010-07-01 false Scope and compliance. 716.1 Section 716.1 Protection of Environment ENVIRONMENTAL PROTECTION AGENCY (CONTINUED) TOXIC SUBSTANCES CONTROL ACT HEALTH AND SAFETY DATA REPORTING General Provisions § 716.1 Scope and compliance. (a) This subpart...

  4. Regulatory Enforcement and Compliance

    DEFF Research Database (Denmark)

    May, Peter J.; Winter, Søren

    1999-01-01

    agencies. The latter are shown to be more important in bringing about compliance than are inspectors' enforcement styles. Municipal agencies are shown to increase compliance through the use of third parties, more frequent inspection, and setting priorities for inspection of major items. The findings about...

  5. Site Environmental Report for 2014

    Energy Technology Data Exchange (ETDEWEB)

    Pauer, Ronald O. [Lawrence Berkeley National Lab. (LBNL), Berkeley, CA (United States); Baskin, David [Lawrence Berkeley National Lab. (LBNL), Berkeley, CA (United States); Borglin, Ned [Lawrence Berkeley National Lab. (LBNL), Berkeley, CA (United States); Fox, Robert [Lawrence Berkeley National Lab. (LBNL), Berkeley, CA (United States); Harvey, Zachary [Lawrence Berkeley National Lab. (LBNL), Berkeley, CA (United States); Jelinski, John [Lawrence Berkeley National Lab. (LBNL), Berkeley, CA (United States); Thorson, Patrick [Lawrence Berkeley National Lab. (LBNL), Berkeley, CA (United States); Wehle, Petra [Lawrence Berkeley National Lab. (LBNL), Berkeley, CA (United States); Xu, Suying [Lawrence Berkeley National Lab. (LBNL), Berkeley, CA (United States)

    2015-09-01

    The annual Site Environmental Report documents Lawrence Berkeley National Laboratory’s performance in reducing its environmental impacts, progress toward cleaning up groundwater contamination, and compliance with applicable Department of Energy, federal, state, and local environmental regulations.

  6. 40 CFR 63.826 - Compliance dates.

    Science.gov (United States)

    2010-07-01

    ... 40 Protection of Environment 10 2010-07-01 2010-07-01 false Compliance dates. 63.826 Section 63.826 Protection of Environment ENVIRONMENTAL PROTECTION AGENCY (CONTINUED) AIR PROGRAMS (CONTINUED) NATIONAL EMISSION STANDARDS FOR HAZARDOUS AIR POLLUTANTS FOR SOURCE CATEGORIES (CONTINUED) National Emission Standards for the Printing and...

  7. 40 CFR 280.91 - Compliance dates.

    Science.gov (United States)

    2010-07-01

    ... 40 Protection of Environment 26 2010-07-01 2010-07-01 false Compliance dates. 280.91 Section 280.91 Protection of Environment ENVIRONMENTAL PROTECTION AGENCY (CONTINUED) SOLID WASTES (CONTINUED... marketing firms owning 1,000 or more USTs and all other UST owners that report a tangible net worth of...

  8. Modeling a farm population to estimate on-farm compliance costs and environmental effects of a grassland extensification scheme at the regional scale

    DEFF Research Database (Denmark)

    Uthes, Sandra; Sattler, Claudia; Piorr, Annette

    2010-01-01

    production orientations and grassland types was modeled under the presence and absence of the grassland extensification scheme using the bio-economic model MODAM. Farms were based on available accountancy data and surveyed production data, while information on farm location within the district was derived...... and environmental effects were heterogeneous in space and farm types as a result of different agricultural production and site characteristics. On-farm costs ranged from zero up to almost 1500 Euro/ha. Such high costs occurred only in a very small part of the regional area, whereas the majority of the grassland had...

  9. Environmental strategy

    DEFF Research Database (Denmark)

    Zabkar, Vesna; Cater, Tomaz; Bajde, Domen

    2013-01-01

    Environmental issues and the inclusion of environmental strategies in strategic thinking is an interesting subject of investigation. In general, managerial practices organized along ecologically sound principles contribute to a more environmentally sustainable global economy. From the managerial...... perspective, appropriate environmental strategies in compliance with environmental requirements aim at building competitive advantages through sustainable development. There is no universal “green” strategy that would be appropriate for each company, regardless of its market requirements and competitive...... situations. Instead, managers undertake careful consideration of the circumstances in which their company operates, paying special attention to their customers’ environmental preferences....

  10. Compliance and Enforcement Actions (CEA) -

    Data.gov (United States)

    Department of Transportation — Compliance and Enforcement Actions application provides process assistance / improvements for conducting investigation and enforcement activities. The Compliance and...

  11. 40 CFR 96.31 - Permitting authority's and Administrator's action on compliance certifications.

    Science.gov (United States)

    2010-07-01

    ... Administrator's action on compliance certifications. 96.31 Section 96.31 Protection of Environment ENVIRONMENTAL... TRADING PROGRAMS FOR STATE IMPLEMENTATION PLANS Compliance Certification § 96.31 Permitting authority's and Administrator's action on compliance certifications. (a) The permitting authority or...

  12. 40 CFR 7.130 - Actions available to EPA to obtain compliance.

    Science.gov (United States)

    2010-07-01

    ... Agency Compliance Procedures § 7.130 Actions available to EPA to obtain compliance. (a) General. If... 40 Protection of Environment 1 2010-07-01 2010-07-01 false Actions available to EPA to obtain compliance. 7.130 Section 7.130 Protection of Environment ENVIRONMENTAL PROTECTION AGENCY...

  13. Technology and use of lignite. Proceedings of the tenth biennial lignite symposium

    Energy Technology Data Exchange (ETDEWEB)

    Kube, W. R.; Gronhovd, G. H. [comps.

    1979-01-01

    The symposium on the technology and use of lignite was sponsored by the US Department of Energy and the University of North Dakota, and held at Grand Forks, North Dakota, May 30-31, 1979. Twenty-one papers from the proceedings of this tenth biennial lignite symposium have been entered into EDB and ERA and three also into EAPA. The papers discuss lignite deposits in the USA, mining plans, gasification and in-situ gasification, and combustion in fossil-fuel power plants. (LTN)

  14. Interdecadal variability of the tropospheric biennial oscillation in the western North Pacific

    Institute of Scientific and Technical Information of China (English)

    Zheng Bin; Lin Ai-Lan; Gu De-Jun; Li Chun-Hui

    2008-01-01

    The observed tropospheric biennial oscillation (TBO) in the western North Pacific (WNP) monsoon region has an interdecadal variability with a period of 40-50 yr.That suggests a weaker effect of the TBO on the East Asia followed by a stronger one.A simple analytic model was designed to investigate the mechanism of the interdecadal variability of the TBO.The results indicated that a local TBO air-sea system not only supports the TBO variability in the WNP monsoon region but also produces an interdecadal variability of the TBO.

  15. The quasi-biennial variation in the geomagnetic field: a global characteristics analysis

    Science.gov (United States)

    Ou, Jiaming; Du, Aimin

    2016-04-01

    The periodicity of 1.5-3 years, namely the quasi-biennial oscillation (QBO), has been identified in the solar, geophysical, and atmospheric variability. Sugiura (1976) investigated the observatory annual means over 1900-1970 and confirmed the QBO in the geomagnetic field. At present, studying the quasi-biennial oscillation becomes substantial for separating the internal/external parts in the geomagnetic observations. For the internal field, two typical periodicities, namely the 6-year oscillation in the geomagnetic secular acceleration (SA) and the geomagnetic jerk (occurs in 1-2 years), have close period to the QBO. Recently, a global quasi-biennial fluctuation was identified in the geomagnetic core field model (Silva et al., 2012). Silva et al. speculated this 2.5 years signal to either external source remaining in the core field model or consequence of the methods used to construct the model. As more high-quality data from global observatories are available, it is a good opportunity to characterize the geomagnetic QBO in the global range. In this paper, we investigate the QBO in the observatory monthly geomagnetic field X, Y, and Z components spanning 1985-2010. We employ the observatory hourly means database from the World Data Center for Geomagnetism (WDC) for the investigation. Wavelet analysis is used to detect and identify the QBO, while Fast Fourier Transform (FFT) analysis to obtain the statistics of the QBO. We apply the spherical harmonic analysis on QBO's amplitude, in order to quantify and separate internal and external sources. Three salient periods respectively at 2.9, 2.2, and 1.7 years, are identified in the amplitude spectrum over 1988-2008. The oscillation with the period of ~2.2 years is most prominent in all field components and further studied. In the X component the QBO is attenuated towards the polar regions, while in the Z component the amplitude of QBO increases with increasing of the geomagnetic latitude. At the high latitudes, the QBO

  16. 11th Biennial Conference on Emerging Mathematical Methods, Models and Algorithms for Science and Technology

    CERN Document Server

    Manchanda, Pammy; Bhardwaj, Rashmi

    2015-01-01

    The present volume contains invited talks of 11th biennial conference on “Emerging Mathematical Methods, Models and Algorithms for Science and Technology”. The main message of the book is that mathematics has a great potential to analyse and understand the challenging problems of nanotechnology, biotechnology, medical science, oil industry and financial technology. The book highlights all the features and main theme discussed in the conference. All contributing authors are eminent academicians, scientists, researchers and scholars in their respective fields, hailing from around the world.

  17. EPA Enforcement and Compliance History Online: Water Discharge Monitoring Report Data Sets for FY2011

    Data.gov (United States)

    U.S. Environmental Protection Agency — Integrated Compliance Information System (ICIS) National Pollutant Discharge Elimination System (NPDES) Discharge Monitoring Report (DMR) data sets for Clean Water...

  18. EPA Enforcement and Compliance History Online: Water Discharge Monitoring Report Data Sets for FY2015

    Data.gov (United States)

    U.S. Environmental Protection Agency — Integrated Compliance Information System (ICIS) National Pollutant Discharge Elimination System (NPDES) Discharge Monitoring Report (DMR) data sets for Clean Water...

  19. EPA Enforcement and Compliance History Online: Water Discharge Monitoring Report Data Sets for FY2014

    Data.gov (United States)

    U.S. Environmental Protection Agency — Integrated Compliance Information System (ICIS) National Pollutant Discharge Elimination System (NPDES) Discharge Monitoring Report (DMR) data sets for Clean Water...

  20. EPA Enforcement and Compliance History Online: Water Discharge Monitoring Report Data Sets for FY2016

    Data.gov (United States)

    U.S. Environmental Protection Agency — Integrated Compliance Information System (ICIS) National Pollutant Discharge Elimination System (NPDES) Discharge Monitoring Report (DMR) data sets for Clean Water...

  1. EPA Enforcement and Compliance History Online: Water Discharge Monitoring Report Data Sets for FY2013

    Data.gov (United States)

    U.S. Environmental Protection Agency — Integrated Compliance Information System (ICIS) National Pollutant Discharge Elimination System (NPDES) Discharge Monitoring Report (DMR) data sets for Clean Water...

  2. EPA Enforcement and Compliance History Online: Water Discharge Monitoring Report Data Sets for FY2009

    Data.gov (United States)

    U.S. Environmental Protection Agency — Integrated Compliance Information System (ICIS) National Pollutant Discharge Elimination System (NPDES) Discharge Monitoring Report (DMR) data sets for Clean Water...

  3. EPA Enforcement and Compliance History Online: Water Discharge Monitoring Report Data Sets for FY2010

    Data.gov (United States)

    U.S. Environmental Protection Agency — Integrated Compliance Information System (ICIS) National Pollutant Discharge Elimination System (NPDES) Discharge Monitoring Report (DMR) data sets for Clean Water...

  4. EPA Enforcement and Compliance History Online: Water Discharge Monitoring Report Data Sets for FY2012

    Data.gov (United States)

    U.S. Environmental Protection Agency — Integrated Compliance Information System (ICIS) National Pollutant Discharge Elimination System (NPDES) Discharge Monitoring Report (DMR) data sets for Clean Water...

  5. Integration of GIS technology with air compliance for the Oak Ridge National Laboratory

    Energy Technology Data Exchange (ETDEWEB)

    Gurney, I.A. [Oak Ridge National Lab., TN (United States); Humphreys, M.P. [USDOE Oak Ridge Operations Office, TN (United States)

    1994-12-31

    ORNL uses a Geographical Information System (GIS) to achieve air quality compliance effectively and with minimum expense. Since implementation of MapInfo for Environmental Air Compliance activities, plant-wide adoption of the sytem is occurring. The common forum for data exchange allows compliance groups to pursue more of a management and planning rather than merely a regulatory role. Field surveys are implemented by personnel directly involved with the activities and this data is then transmitted via MapInfo. Examples are given of how the Environmental Compliance Section at ORNL uses it to achieve air quality compliance for Titles III and V, NEPA, and NESHAPs.

  6. Compliance for Green IT

    CERN Document Server

    Calder, Alan

    2009-01-01

    The growing range of Green IT regulations are challenging more and more organisations to take specific steps to ensure they are in compliance with sometimes complex regulations, ranging from cap & trade requirements through to regulations concerning IT equipment disposal.

  7. Environmental effectiveness of GAEC cross-compliance standard 2.1 ‘Maintaining the level of soil organic matter through management of stubble and crop residues’ and economic evaluation of the competitiveness gap for farmers

    Directory of Open Access Journals (Sweden)

    Domenico Ventrella

    2015-12-01

    Full Text Available Within the Project MO.NA.CO. the Environmental effectiveness of GAEC cross-compliance standard 2.2 ‘Maintaining the level of soil organic matter through management of stubble and crop residues’ and economic evaluation of the competitiveness gap for farmers were evaluated. The monitoring was performed in eight experimental farms of the Council for agricultural research and economics (CREA, distributed throughout Italy and with different soil and climatic conditions. Yield parameters and several components of soil organic matter were evaluated in two contrasting treatments applied to one-year rotation of winter durum wheat and maize: i incorporation into the soil of crop residues (Factual treatment and ii burning or removal of crop residues (Counterfactual treatment. The application of the standard ‘crop residue management’ has showed contrasting results with differences (for yield and soil between the two treatments resulted almost always non significant. The analysis of economic competitiveness gap showed that the CR incorporation is more expensive than CR burning or removal, but the economic disadvantage can be considered rather small and thus easily compensated by Community aids. Therefore, the soil incorporation of crop residues can be considered a ‘good agricultural practice’ that does not penalize farmers in terms of production and cost and at the same time contributes to the maintenance of fertility and soil biodiversity. On the contrary, the removal and burning of residues result in a low or no-addition of organic matter into the soil. Moreover, burning can contribute to decrease the biodiversity and to increase the risk of air pollution, fires and road accidents.

  8. Integrated diagnostics: Proceedings from the 9th biennial symposium of the International Society for Strategic Studies in Radiology

    NARCIS (Netherlands)

    G.P. Krestin (Gabriel); N. Grenier (Nicolas); H. Hricak (Hedvig); V.P. Jackson (V.); P.L. Khong (P.); J.C. Miller (Janet); A. Muellner (Ada); M. Schwaiger (M.); J.H. Thrall (James)

    2012-01-01

    textabstractThe International Society for Strategic Studies in Radiology held its 9th biennial meeting in August 2011. The focus of the programme was integrated diagnostics and massive computing. Participants discussed the opportunities, challenges, and consequences for the discipline of radiology t

  9. Ecological Monitoring and Compliance Program 2007 Report

    Energy Technology Data Exchange (ETDEWEB)

    Hansen, Dennis; Anderson, David; Derek, Hall; Greger, Paul; Ostler, W. Kent

    2008-03-01

    In accordance with U.S. Department of Energy (DOE) Order 450.1, 'Environmental Protection Program', the Office of the Assistant Manager for Environmental Management of the DOE, National Nuclear Security Administration Nevada Site Office (NNSA/NSO) requires ecological monitoring and biological compliance support for activities and programs conducted at the Nevada Test Site (NTS). National Security Technologies, LLC (NSTec), Ecological Services has implemented the Ecological Monitoring and Compliance (EMAC) Program to provide this support. EMAC is designed to ensure compliance with applicable laws and regulations, delineate and define NTS ecosystems, and provide ecological information that can be used to predict and evaluate the potential impacts of proposed projects and programs on those ecosystems. This report summarizes the EMAC activities conducted by NSTec during calendar year 2007. Monitoring tasks during 2007 included eight program areas: (a) biological surveys, (b) desert tortoise compliance, (c) ecosystem mapping and data management, (d) sensitive plant monitoring, (e) sensitive and protected/regulated animal monitoring, (f) habitat monitoring, (g) habitat restoration monitoring, and (h) biological monitoring at the Nonproliferation Test and Evaluation Complex (NPTEC). The following sections of this report describe work performed under these eight areas.

  10. Hanford Site Environmental Report for Calendar Year 1999

    Energy Technology Data Exchange (ETDEWEB)

    Poston, Ted M.; Hanf, Robert W.; Dirkes, Roger L.

    2000-09-28

    The Hanford Site environmental report is prepared annually to summarize environmental data and information, to describe environmental management performance, to demonstrate the status of compliance with environmental regulations, and to highlight major environmental programs and efforts.

  11. Hanford Site Environmental Report for Calendar Year 2000

    Energy Technology Data Exchange (ETDEWEB)

    Poston, Ted M.; Hanf, Robert W.; Dirkes, Roger L.; Morasch, Launa F.

    2001-09-25

    This Hanford Site environmental report is prepared annually to summarize environmental data and information, to describe environmental management performance, to demonstrate the status of compliance with environmental regulations, and to highlight major environmental programs and efforts.

  12. [Frequency dependance of compliance].

    Science.gov (United States)

    Gayrard, P

    1975-01-01

    Resistance of peripheral or "small" airways is only a small part of the total pulmonary resistance (Raw). Even considerable obstruction in these airways will have little effect on total resistance. Conversely this will lead to inequality in the time constants of units in parallel, and dynamic lung compliance (C dyn) shall fall as respiratory frequence increases. C dyn is measured from simultaneous recordings of transpulmonary pressure (esophageal balloon) and volume obtained from a volume displacement plethysmograph. If Raw and static compliance are found to be normal, the frequency dependance of compliance will result from peripheral airway obstruction only. Early stages of chronic airway obstruction can be established by this method. However this appear not suitable for wide-scale studies.

  13. Quasi-Biennial Oscillation signatures in the diurnal tidal winds over Cachoeira Paulista

    Science.gov (United States)

    Rodrigues de Araujo, Luciana; Jacobi, Christoph; Batista, Paulo; Lima, Lourivaldo

    2016-07-01

    The solar diurnal tidal plays an important role in the Mesosphere and Lower Thermosphere (MLT) region at low latitudes, in which its amplitude for horizontal winds maximizes around 20 degrees. The tides are excited in the lower atmosphere and stratosphere and can be affected by short and long-term local variations during their upward propagation. In this work, the meteor winds obtained over Cachoeira Paulista (22.7° S, 45.0° W), Brazil, have been used to investigate interannual variability in the amplitude of the diurnal tidal winds. The monthly diurnal tidal displays year to year variations. Amplitudes are strongest when the equatorial quasi-biennial oscillation (QBO) at the 30 mb level is eastward. This behavior can be observed in all seasons in the meridional component, whilst it is more clearly expressed during austral autumn in the zonal component, just when the diurnal tidal is strongest at this latitude.

  14. Does Medicaid Make a Difference? Findings from the Commonwealth Fund Biennial Health Insurance Survey, 2014.

    Science.gov (United States)

    Blumenthal, David; Rasmussen, Petra W; Collins, Sara R; Doty, Michelle M

    2015-06-01

    As millions of Americans gain Medicaid coverage under the Affordable Care Act, attention has focused on the access to care, quality of care, and financial protection that coverage provides. This analysis uses the Commonwealth Fund Biennial Health Insurance Survey, 2014, to explore these questions by comparing the experiences of working-age adults with private insurance who were insured all year, Medicaid beneficiaries with a full year of coverage, and those who were uninsured for some time during the year. The survey findings suggest that Medicaid coverage provides access to care that in most aspects is comparable to private insurance. Adults with Medicaid coverage reported better care experiences on most measures than those who had been uninsured during the year. Medicaid beneficiaries also seem better protected from the cost of illness than do uninsured adults, as well as those with private coverage.

  15. 2nd Biennial Conference on Refrigeration for Cryogenic Sensors and Electronic Systems

    CERN Document Server

    1983-01-01

    This proceedings documents the output of the Second Biennial Conference on Refrigeration for Cryogenic Sensors and Electronic Systems held at the National Aeronautics and Space Administration's Goddard Space Flight Center, Greenbelt, Maryland, on December 7-8, 1982. Building on the first open meeting hosted by the National Bureau of Standards in 1980, the focus of this second meeting was again on low-temperature, closed-cycle cooler technology. However, higher temperature coolers (77 K), with technology applicable to the low temperature coolers, were considered to be within the scope of this meeting. This second conference consisted of 30 papers presented by representatives of industry, government, and academia. The conference proceedings reproduced here was published by the NASA Goddard Space Flight Center in Greenbelt Maryland as NASA Conference Publication 2287.

  16. Coherent seasonal, annual, and quasi-biennial variations in ionospheric tidal/SPW amplitudes

    Science.gov (United States)

    Chang, Loren C.; Sun, Yan-Yi; Yue, Jia; Wang, Jack Chieh; Chien, Shih-Han

    2016-07-01

    In this study, we examine the coherent spatial and temporal modes dominating the variation of selected ionospheric tidal and stationary planetary wave (SPW) signatures from 2007 to 2013 FORMOSAT-3/COSMIC (Constellation Observing System for Meteorology, Ionosphere, and Climate) total electron content observations using multidimensional ensemble empirical mode decomposition (MEEMD) from the Hilbert-Huang Transform. We examine the DW1, SW2, DE3, and SPW4 components, which are driven by a variety of in situ and vertical coupling sources. The intrinsic mode functions (IMFs) resolved by MEEMD analysis allows for the isolation of the dominant modes of variability for prominent ionospheric tidal/SPW signatures in a manner not previously used, allowing the effects of specific drivers to be examined individually. The time scales of the individual IMFs isolated for all tidal/SPW signatures correspond to a semiannual variation at equatorial ionization anomaly (EIA) latitudes maximizing at the equinoxes, as well as annual oscillations at the EIA crests and troughs. All tidal/SPW signatures show one IMF isolating an ionospheric quasi-biennial oscillation (QBO) in the equatorial latitudes maximizing around January of odd-numbered years. This total electron content QBO variation is in phase with a similar QBO variation isolated in both the Global Ultraviolet Imager (GUVI) zonal mean column O/N2 density ratio (ΣO/N2) and the F10.7 solar radio flux index around solar maximum, while showing temporal variation more similar to that of GUVI ΣO/N2 during the time around the 2008/2009 extended solar minimum. These results point to both quasi-biennial variations in solar irradiance and thermosphere/ionosphere composition as a generation mechanism for the ionospheric QBO.

  17. A delayed action oscillator shared by biennial, interannual, and decadal signals in the Pacific Basin

    Science.gov (United States)

    White, Warren B.; Tourre, Y.M.; Barlow, M.; Dettinger, M.

    2003-01-01

    Biennial, interannual, and decadal signals in the Pacific basin are observed to share patterns and evolution in covarying sea surface temperature (SST), 18??C isotherm depth (Z18), zonal surface wind (ZSW), and wind stress curl (WSC) anomalies from 1955 to 1999. Each signal has warm SST anomalies propagating slowly eastward along the equator, generating westerly ZSW anomalies in their wake. These westerly ZSW anomalies produce cyclonic WSC anomalies off the equator which pump baroclinic Rossby waves in the western/central tropical North Pacific Ocean. These Rossby waves propagate westward, taking ???6, ???12, and ???36 months to reach the western boundary near ???7??N, ???12??N, and ???18??N on biennial, interannual, and decadal period scales, respectively. There, they reflect as equatorial coupled waves, propagating slowly eastward in covarying SST, Z18, and ZSW anomalies, taking ???6, ???12, and ???24 months to reach the central/eastern equatorial ocean. These equatorial coupled waves produce a delayed-negative feedback to the warm SST anomalies there. The decrease in Rossby wave phase speed with latitude, the increase in meridional scale of equatorial SST anomalies with period scale, and the associated increase in latitude of Rossby wave forcing are consistent with the delayed action oscillator (DAO) model used to explain El Nin??o. However, this is not true of the western-boundary reflection of Rossby waves into slow equatorial coupled waves. This requires modification of the extant DAO model. We construct a modified DAO model, demonstrating how the various mechanisms and the size and sources of their delays yield the resulting frequency of each signal.

  18. Environmental Compliance Assessment System (ECAS) - Oregon Supplement

    Science.gov (United States)

    1994-04-01

    means of one or more washes in solvent, extraction of excess solvent by spinning, and dry- ing by tumbling in an airstream. The facility includes but...is not limited to any washer, dryer , filter, and purification systems, waste disposal systems, holding tanks, pumps, and attendant piping and valves...meets the following operating requirements: - vents the entire dryer exhaust through a properly functioning car- bon adsorption system or equally

  19. Environmental Compliance Assessment System (ECAS) - Japan Settlement

    Science.gov (United States)

    1993-12-01

    seaweed , or other animals or plants within these areas, is maintained in an excellent condition, and which are of a size exceeding that stipulated by...of the sea or draining the. seashore - capturing tropical fish, coral, seaweed , or other designated animals or plants. 4.7. The Director Gen- Determine...substances likely to cause substantial increase of vegetable planktons in the lakes). 10- 17 10- 18 Appendix 10-3 Effluent Standards Ordinance of the Prime

  20. Environmental Compliance Assessment for Army Reserves (ECAAR)

    Science.gov (United States)

    1991-11-01

    Discharger - any point source discharger who discharges directly into any stream, river, bay, ocean , or any other watercourse. * Erosion - the wearing away...storage tanks; conform to all laws, including international laws, on ocean dumping; and in general, "generate, transport, treat, store, and dispose of...EIS, check that the environ- mental impacts of pest management operations are being addressed as part of IPIP . (1)(2)(5)(11)(12) (1) MUSARC Engineer

  1. Environmental Compliance Assessment System (ECAS) - Wisconsin Supplement

    Science.gov (United States)

    1994-02-01

    wastewater that are specifi- cally approved or have a pollution discharge permit - facilities used for the landspreading of whey - facilities used for the...waste oil recycling programs. "* Bureau of Wastewater Management, has the authority to run the Federal National Pollutant Discharge Elimination System...more of the classifications of water- works or wastewater treatment plants. "* Classification - or class means a number assigned to the plant based on a

  2. Environmental Compliance Assessment and Management Program (ECAMP)

    Science.gov (United States)

    1993-04-01

    along with documentation of good mpiragement practices and risk -management information, were combined into a series of checklists that show (1...management practices (GMPs) and risk management issues into consistent and easy to use checklist!s 3. serve as an aid during the evaluation process. A...Management Manarment Monaumnent Resources Managent Managemnet I. Incineratols 2. HeatjPowu Production 3. AGE Operation 4. Aimraft Operations 5

  3. Environmental Compliance Assessment Army Reserve (ECAAR)

    Science.gov (United States)

    1993-09-01

    manufacturing processes: electric power generation; fertilizer/agricultural chemicals; food and related products/by- products; inorganic chemicals; iron and...2,3-cd)pyrene 100 U137 193-39-5 Iron , pentacarbonyl- 100 13463-40-06 iso-Arnyl acetate 5000 123-92-2 iso-Butyl acetate 5000 110-19-0 iso-Butylamine 1000...polystachion (Linnaeus) Schultes missiongrass, thin napiergrass Prosopis alpalaco R.A.Philippi Prosopis argentina Burkart Prosopis articulata

  4. Environmental Compliance Assessment and Management Program (ECAMP)

    Science.gov (United States)

    1994-06-01

    its salts K126 INCIN, or CHOXD INCIN Baghouse dust and floor sweepings in milling and fb (BIODG or packaging operations from the production or...0.001(1) Hlexchloroethane (CAS 67-72-1) 0.055 (2) 28(1) Hexachloropropene (CAS 1888-71-7) 0.035 (2) 28(1) Indeno(1.23.- cfd )pyrene (CAS 193-39-5

  5. Environmental Compliance Assessment System (ECAS). Connecticut Supplement

    Science.gov (United States)

    1994-09-01

    compounds resulting from the displacement of three of the four hydrogen atoms in methane with chlorine, bromide, or iodine atoms in the molec- ular...500 ppm available chlorine, phenolic solution with 500 ppm active agent, iodoform solution with 100 ppm available iodine , or quaternary ammonium...Co. Timberfume I1 3008-46 Osmose Wood Pres. Co. Timberlife-D 3008-56 Osmose Wood Pres. Co. Tomato Potato Vegetable 279-1626-4 Bonide Chemical Co

  6. Worldwide Environmental Compliance Assessment System (ECAS)

    Science.gov (United States)

    1993-03-01

    Healthcare facility Verify that healthcare facility waste handlers have been trained. (1)(3) waste handlers are re- quired to receive initial training and... autoclaved . (1)(3) infectious and pathologi- cal waste must meet Verify that pathological waste is incinerated or steam sterilized. (1)(3) specific standards...Location Codes ix PROTOCOL SECTION Section Title Page 1 Air Emissions Management 1-1 2 Hazardous Materials Management 2-1 3 Hazardous Waste Management

  7. 36 CFR 1010.4 - NEPA Compliance Coordinator.

    Science.gov (United States)

    2010-07-01

    ...) Develop procedures within the Trust's planning and decision-making processes to ensure that environmental... and documentation of the environmental aspects of the Trust's planning and decision-making processes... decisions of the NEPA Compliance Coordinator in accordance with the Trust's regulations and procedures. (b...

  8. Interpersonal Communication and Compliance

    NARCIS (Netherlands)

    Fennis, Bob M.; Das, Enny; Pruyn, Ad Th.H.

    2006-01-01

    Two field experiments examined the impact of the Disrupt-Then-Reframe (DTR) technique on compliance. This recently identified technique consists of a subtle, odd element in a typical scripted request (the disruption) followed by a persuasive phrase (the reframing). The authors argued that its impact

  9. Explaining compliance: what makes the pollutor turn green? an event history analysis of the member state compliance with the Montreal Protocol

    OpenAIRE

    Nordø, Åsta Dyrnes

    2010-01-01

    This thesis seeks to explore which structural factors that move member states into compliance with International Environmental Agreements (IEAs). The research question is: under what conditions do members to an international environmental agreement comply with their commitments?" Previous conducted studies on environmental accords have focused mainly on institutional treaty characteristics when explaining variance in compliance. The interest in regime factors has led to a focus on overal...

  10. Making corporate compliance programs work.

    Science.gov (United States)

    Chibbaro, M J; Colyer, C

    2000-05-01

    Healthcare organizations have created corporate compliance programs in an effort to adhere to Federal government recommendations, minimize the risk of wrongful behavior, and possibly reduce fines that may result from a government investigation. Compliance programs may have undetected weaknesses. Corporate compliance officers, executives, and board members need to be certain that their organization's program has sufficient infrastructure, oversight, and resources; effective education and training; an effective mechanism (hotline) to receive reports of compliance problems; and ongoing auditing and monitoring capabilities.

  11. Environmental surveillance at Los Alamos during 1994

    Energy Technology Data Exchange (ETDEWEB)

    NONE

    1996-07-01

    This report describes environmental monitoring activities at Los Alamos National Laboratory for 1994. Data were collected to assess external penetrating radiation, airborne emissions, liquid effluents, radioactivity of environmental materials and food stuffs, and environmental compliance.

  12. Environmental effectiveness of GAEC cross-compliance standard 1.1c ‘Maintenance of farm channel networks and field convexity’ and economic evaluation of the competitiveness gap for farmers

    Directory of Open Access Journals (Sweden)

    Paolo Bazzoffi

    2016-02-01

    Full Text Available This paper shows the results of the monitoring carried out in three farms of the project MO.NA.CO. in order to verify the effectiveness of the cross-compliance standard 1.1c which obliges the farmer to the ‘Maintenance of farm channel networks and field convexity’ in order to ensure its efficiency and functionality in draining water. It was also examined the competitiveness gap induced to the agricultural enterprise by the application of the standard, that is to say the additional costs borne by the beneficiary of the single payment determined by cleaning farm collector channels. Effectiveness was determined by evaluating the degradation of soil structure at the end of winter, on flat fields  sown in autumn with winter wheat, in the two cases: a Factual (channels along the field edges not clogged and no waterlogging present on the cultivated soil b Counterfactual (channels clogged and waterlogging present on the cultivated soil. The monitoring confirmed a positive effect of the adoption of this standard on predisposing soil to the ideal conditions for the maintenance of the structure. Despite the statistical evidence found, it must be said that the change in the surface roughness factor was so small as not to take any practical significance in order to affirm that the functional maintenance of collectors channels have been effective in reducing erosion. Overall, the soils were unstructured and crusted at the end of the observation period. Indexes Icli, NTU, and DS show a structural fragility from medium to high for soils of the three monitoring farms. This explains the lack of appreciable differences in the soil roughness parameter, especially in relation to   heavy rains and long waterlogging periods in the cropping years of monitoring. The competitiveness gap induced by the application of this standard, amounted to 19.89±€ 6.35 ha-1 year-1. Atmospheric emission of CO2, was equal to 14.53±6.62 kg ha-1 year-1. It is considered

  13. AFSC/RACE/GAP/Palsson: Gulf of Alaska and Aleutian Islands Biennial Bottom Trawl Survey estimates of catch per unit effort, biomass, population at length, and associated tables

    Data.gov (United States)

    National Oceanic and Atmospheric Administration, Department of Commerce — The GOA/AI Bottom Trawl Estimate database contains abundance estimates for the Alaska Biennial Bottom Trawl Surveys conducted in the Gulf of Alaska and the Aleutian...

  14. Annual Site Environmental Report. Calendar Year 1997

    Energy Technology Data Exchange (ETDEWEB)

    NONE

    1997-12-01

    This report summarizes the environmental status of Ames Laboratory for calendar year 1997. It includes descriptions of the Laboratory site, its mission, the status of its compliance with applicable environmental regulations, its planning and activities to maintain compliance, and a comprehensive review of its environmental protection, surveillance and monitoring programs.

  15. Agent Architectures for Compliance

    Science.gov (United States)

    Burgemeestre, Brigitte; Hulstijn, Joris; Tan, Yao-Hua

    A Normative Multi-Agent System consists of autonomous agents who must comply with social norms. Different kinds of norms make different assumptions about the cognitive architecture of the agents. For example, a principle-based norm assumes that agents can reflect upon the consequences of their actions; a rule-based formulation only assumes that agents can avoid violations. In this paper we present several cognitive agent architectures for self-monitoring and compliance. We show how different assumptions about the cognitive architecture lead to different information needs when assessing compliance. The approach is validated with a case study of horizontal monitoring, an approach to corporate tax auditing recently introduced by the Dutch Customs and Tax Authority.

  16. Checking Security Policy Compliance

    CERN Document Server

    Gowadia, Vaibhav; Kudo, Michiharu

    2008-01-01

    Ensuring compliance of organizations to federal regulations is a growing concern. This paper presents a framework and methods to verify whether an implemented low-level security policy is compliant to a high-level security policy. Our compliance checking framework is based on organizational and security metadata to support refinement of high-level concepts to implementation specific instances. Our work uses the results of refinement calculus to express valid refinement patterns and their properties. Intuitively, a low-level security policy is compliant to a high-level security policy if there is a valid refinement path from the high-level security policy to the low-level security policy. Our model is capable of detecting violations of security policies, failures to meet obligations, and capability and modal conflicts.

  17. Orchestrated Session Compliance

    Directory of Open Access Journals (Sweden)

    Franco Barbanera

    2015-08-01

    Full Text Available We investigate the notion of orchestrated compliance for client/server interactions in the context of session contracts. Devising the notion of orchestrator in such a context makes it possible to have orchestrators with unbounded buffering capabilities and at the same time to guarantee any message from the client to be eventually delivered by the orchestrator to the server, while preventing the server from sending messages which are kept indefinitely inside the orchestrator. The compliance relation is shown to be decidable by means of 1 a procedure synthesising the orchestrators, if any, making a client compliant with a server, and 2 a procedure for deciding whether an orchestrator behaves in a proper way as mentioned before.

  18. EUB Directive 019 : EUB compliance assurance : enforcement

    Energy Technology Data Exchange (ETDEWEB)

    NONE

    2005-07-27

    The Alberta Energy and Utilities Board (EUB) ensures that the discovery, development and delivery of Alberta's resources takes place in a fair and responsible manner by enforcing EUB requirements that are written on behalf of Albertans. Compliance ensures that resource activities are conducted in a manner that protects public safety, minimizes environmental impact, preserves equity and ensures effective resource conservation. This directive addresses the enforcement aspect of compliance assurance. It applies to all EUB requirements and processes except matters dealing with utility rates. It explains what licensees must do when a noncompliance is identified by the EUB; the enforcement process and the consequences for low and high risk noncompliance; the EUB appeal process; the EUB voluntary self-disclosure policy, including the rules and benefits of voluntary self-disclosure; and, the availability of compliance information. The risk assessment matrix used by the EUB to predetermine whether the level of noncompliance risk is low or high for each EUB requirement, is based on health and safety, environmental impact, conservation, and stakeholder confidence in the regulatory process. 2 tabs.

  19. Hanford Site Environmental Report for Calendar Year 2003

    Energy Technology Data Exchange (ETDEWEB)

    Poston, Ted M.; Hanf, Robert W.; Dirkes, Roger L.; Morasch, Launa F.

    2004-09-01

    This report is published each year by DOE to summarize environmental data and information, describe environmental management performance, demonstrate the status of compliance with environmental regulations, and highlight major environmental programs and efforts.

  20. Tropical Waves and the Quasi-Biennial Oscillation in a 7-km Global Climate Simulation

    Science.gov (United States)

    Holt, Laura A.; Alexander, M. Joan; Coy, Lawrence; Molod, Andrea; Putman, William; Pawson, Steven

    2016-01-01

    This study investigates tropical waves and their role in driving a quasi-biennial oscillation (QBO)-like signal in stratospheric winds in a global 7-km-horizontal-resolution atmospheric general circulation model. The Nature Run (NR) is a 2-year global mesoscale simulation of the Goddard Earth Observing System Model, version 5 (GEOS-5). In the tropics, there is evidence that the NR supports a broad range of convectively generated waves. The NR precipitation spectrum resembles the observed spectrum in many aspects, including the preference for westward-propagating waves. However, even with very high horizontal resolution and a healthy population of resolved waves, the zonal force provided by the resolved waves is still too low in the QBO region and parameterized gravity wave drag is the main driver of the NR QBO-like oscillation (NRQBO). The authors suggest that causes include coarse vertical resolution and excessive dissipation. Nevertheless, the very-high-resolution NR provides an opportunity to analyze the resolved wave forcing of the NR-QBO. In agreement with previous studies, large-scale Kelvin and small-scale waves contribute to the NRQBO driving in eastward shear zones and small-scale waves dominate the NR-QBO driving in westward shear zones. Waves with zonal wavelength,1000 km account for up to half of the small-scale (,3300 km) resolved wave forcing in eastward shear zones and up to 70% of the small-scale resolved wave forcing in westward shear zones of the NR-QBO.

  1. The Quasi-biennial Oscillation and annual variations in tropical ozone from SHADOZ and HALOE

    Directory of Open Access Journals (Sweden)

    J. C. Witte

    2008-03-01

    Full Text Available We examine the tropical ozone mixing ratio perturbation fields generated from a monthly ozone climatology using 1998 to 2006 ozonesonde data from the Southern Hemisphere Additional Ozonesondes (SHADOZ network and the 13 year satellite record from 1993 to 2005 obtained from the Halogen Occultation Experiment (HALOE. The lengthy time series and high vertical resolution of the ozone and temperature profiles from the SHADOZ sondes coupled with good tropical coverage north and south of the equator gives a detailed picture of the ozone structure in the lowermost stratosphere down through the tropopause where the picture obtained from HALOE measurements is blurred by coarse vertical resolution. Ozone perturbations respond to annual variations in the Brewer-Dobson Circulation (BDC in the region just above the cold-point tropopause to around 20 km. Strong annual signals of alternating positive and negative ozone anomalies are observed and correlate well with temperature anomalies. Above 20 km, ozone and temperature perturbations are dominated by the Quasi-biennial Oscillation (QBO. Both satellite and sonde records show good agreement between positive and negative ozone mixing ratio anomalies and alternating QBO easterly and westerly wind shears from the Singapore rawinsondes with a mean periodicity of 26 months for SHADOZ and 25 months for HALOE. There is a temporal offset of one to three months with the ozone QBO preceding the wind shear. Horizontal length scales for the annual cycle and the QBO, obtained using the temperature anomalies and wind shears in the thermal wind equation, compare well with theoretical calculations.

  2. Atmospheric and Oceanic Excitations to LOD Change on Quasi-biennial Time Scales

    Institute of Scientific and Technical Information of China (English)

    Li-Hua Ma; De-Chun Liao; Yan-Ben Han

    2006-01-01

    We use wavelet transform to study the time series of the Earth's rotation rate (length-of-day, LOD), the axial components of atmospheric angular momentum (AAM) and oceanic angular momentum (OAM) in the period 1962-2005, and discuss the quasi-biennial oscillations (QBO) of LOD change. The results show that the QBO of LOD change varies remarkably in amplitude and phase. It was weak before 1978, then became much stronger and reached maximum values during the strong El Nino events in around 1983 and 1997. Results from analyzing the axial AAM indicate that the QBO signals in axial AAM are extremely consistent with the QBOs of LOD change. During 1963-2003, the QBO variance in the axial AAM can explain about 99.0% of that of the LOD, in other words, all QBO signals of LOD change are almost excited by the axial AAM, while the weak QBO signals of the axial OAM are quite different from those of the LOD and the axial AAM in both time-dependent characteristics and magnitudes. The combined effects of the axial AAM and OAM can explain about 99.1% of the variance of QBO in LOD change during this period.

  3. Tropical Waves and the Quasi-Biennial Oscillation in a 7-km Global Climate Simulation

    Science.gov (United States)

    Holt, Laura A.; Alexander, M. Joan; Coy, Lawrence; Molod, Andrea; Putman, William; Pawson, Steven

    2016-01-01

    This study investigates tropical waves and their role in driving a quasi-biennial oscillation (QBO)-like signal in stratospheric winds in a global 7-km-horizontal-resolution atmospheric general circulation model. The Nature Run (NR) is a 2-year global mesoscale simulation of the Goddard Earth Observing System Model, version 5 (GEOS-5). In the tropics, there is evidence that the NR supports a broad range of convectively generated waves. The NR precipitation spectrum resembles the observed spectrum in many aspects, including the preference for westward-propagating waves. However, even with very high horizontal resolution and a healthy population of resolved waves, the zonal force provided by the resolved waves is still too low in the QBO region and parameterized gravity wave drag is the main driver of the NR QBO-like oscillation (NRQBO). The authors suggest that causes include coarse vertical resolution and excessive dissipation. Nevertheless, the very-high-resolution NR provides an opportunity to analyze the resolved wave forcing of the NR-QBO. In agreement with previous studies, large-scale Kelvin and small-scale waves contribute to the NRQBO driving in eastward shear zones and small-scale waves dominate the NR-QBO driving in westward shear zones. Waves with zonal wavelength,1000 km account for up to half of the small-scale (,3300 km) resolved wave forcing in eastward shear zones and up to 70% of the small-scale resolved wave forcing in westward shear zones of the NR-QBO.

  4. On the mechanisms of the quasi-biennial oscillations in the GCR intensity

    CERN Document Server

    Krainev, M; Kalinin, M; Svirzhevskaya, A; Svirzhevsky, N

    2015-01-01

    Quasi-biennial oscillation (QBO) is a well-known quasi-periodical variation with characteristic time 0.5-4 years in different solar, heliospheric and cosmic ray characteristics. In this paper a hypothesis is checked on the causes of the apparent lack of correlation between solar and heliospheric QBOs, then the possible mechanisms of QBO in the GCR intensity are discussed as well as the idea of the same nature of the step-like changes and Gnevyshev Gap effects in the GCR intensity. Our main conclusions are as follows: 1) In the first approximation the hypothesis is justified that the change in the sunspot and QBO cycles in the transition from the Sun to the heliosphere is due to 1) the different magnitude and time behavior of the large-scale and small-scale photospheric solar magnetic fields and 2) the stronger attenuation of the small-scale fields in this transition. 2) As the QBO in the HMF strength influences both the diffusion coefficients and drift velocity, it can give rise to the complex QBO in the GCR ...

  5. HF radar observations of a quasi-biennial oscillation in midlatitude mesospheric winds

    Science.gov (United States)

    Malhotra, Garima; Ruohoniemi, J. M.; Baker, J. B. H.; Hibbins, R. E.; McWilliams, K. A.

    2016-11-01

    The equatorial quasi-biennial oscillation (QBO) is known to be an important source of interannual variability in the middle- and high-latitude stratosphere. The influence of the QBO on the stratospheric polar vortex in particular has been extensively studied. However, the impact of the QBO on the winds of the midlatitude mesosphere is much less clear. We have applied 13 years (2002-2014) of data from the Saskatoon Super Dual Auroral Radar Network HF radar to show that there is a strong QBO signature in the midlatitude mesospheric zonal winds during the late winter months. We find that the Saskatoon mesospheric winds are related to the winds of the equatorial QBO at 50 hPa such that the westerly mesospheric winds strengthen when QBO is easterly, and vice versa. We also consider the situation in the late winter Saskatoon stratosphere using the European Centre for Medium-Range Weather Forecasts ERA-Interim reanalysis data set. We find that the Saskatoon stratospheric winds between 7 hPa and 70 hPa weaken when the equatorial QBO at 50 hPa is easterly, and vice versa. We speculate that gravity wave filtering from the QBO-modulated stratospheric winds and subsequent opposite momentum deposition in the mesosphere plays a major role in the appearance of the QBO signature in the late winter Saskatoon mesospheric winds, thereby coupling the equatorial stratosphere and the midlatitude mesosphere.

  6. Quasi-biennial oscillations in the solar tachocline caused by magnetic Rossby wave instabilities

    CERN Document Server

    Zaqarashvili, T V; Oliver, R; Ballester, J L

    2010-01-01

    Quasi-biennial oscillations (QBO) are frequently observed in the solar activity indices. However, no clear physical mechanism for the observed variations has been suggested so far. Here we study the stability of magnetic Rossby waves in the solar tachocline using the shallow water magnetohydrodynamic approximation. Our analysis shows that the combination of typical differential rotation and a toroidal magnetic field with a strength > 10^5 G triggers the instability of the m=1 magnetic Rossby wave harmonic with a period of 2 years. This harmonic is antisymmetric with respect to the equator and its period (and growth rate) depends on the differential rotation parameters and the magnetic field strength. The oscillations may cause a periodic magnetic flux emergence at the solar surface and consequently may lead to the observed QBO in the solar activity features. The period of QBO may change throughout the cycle, and from cycle to cycle, due to variations of the mean magnetic field and differential rotation in the...

  7. Abstract volume for the 2016 biennial meeting of the Yellowstone Volcano Observatory

    Science.gov (United States)

    Lowenstern, Jacob B.

    2016-10-20

    IntroductionEvery two years, scientists, natural resource managers, outreach specialists, and a variety of other interested parties get together for the biennial meeting of the Yellowstone Volcano Observatory (YVO). Each time, the theme varies. In past years, we have focused the meeting around topics including monitoring plans, emergency response, geodesy, and outreach. This year, we spent the first half-day devoted to recent research results, plans for upcoming studies, and geothermal monitoring. On the second day, our focus switched to eruption precursors, particularly as they apply to large caldera systems.Very few large explosive eruptions from caldera systems have taken place in recorded history. Therefore, there are few empirical data with which to characterize the nature of volcanic unrest that might precede eruptions with volcano explosivity index (VEI) of six or greater. For this reason, we set up a series of talks that explore what we know and don’t know about large eruptions. We performed an informal expert elicitation (a frequently used method to characterize expert opinion) with a small number of our colleagues, which served as the basis for a productive discussion session.This short volume of abstracts and extended abstracts provides a summary of the presentations made at the YVO meeting held in Mammoth Hot Springs, Wyoming, on May 10–11, 2016.

  8. Environmental Performance Report 2011: Annual Site Environmental Report per the U.S. Department of Energy Order 231.1B (Management Report)

    Energy Technology Data Exchange (ETDEWEB)

    2012-09-01

    Purpose: NREL's Environmental Performance Report provides a description of the lab's environmental activities for 2011 including information on environmental and sustainability performance, environmental compliance activities and status, and environmental protection programs, highlights, and successes.

  9. 78 FR 59412 - Bureau of Oceans and International Environmental Scientific Affairs; Climate Action Report

    Science.gov (United States)

    2013-09-26

    ... of Oceans and International Environmental Scientific Affairs; Climate Action Report AGENCY... Climate Action Report (CAR) on U.S. climate change actions. This draft CAR consists of two documents, the National Communication and the Biennial Report, that respond to reporting requirements under the...

  10. An Assessment of the Growth in Coverage of Social and Environmental Issues in Graduate Accounting Courses

    Science.gov (United States)

    Green, Sharon; Weber, James

    2013-01-01

    The paper examines if there has been an increase in the attention paid to social and environmental issues (SEI) in accounting curricula. Using schools participating in the Aspen Institute's Beyond Grey Pinstripes (BGP) program, we measure the increase in the number of accounting courses incorporating SEI across the biennial application years of…

  11. Extrinsic incentives and tax compliance

    OpenAIRE

    Sour, Laura; Gutiérrez Andrade, Miguel Ángel

    2011-01-01

    This paper models the impact of extrinsic incentives in a tax compliance model. It also provides experimental evidence that confirms the existence of a positive relationship between rewards and tax compliance. If individuals are audited, rewards for honest taxpayers are effective in increasing the level of tax compliance. These results are particularly relevant in countries where there is little respect for tax law since rewards can contribute to crowding in the intrinsic motivation to comply.

  12. Extrinsic incentives and tax compliance

    OpenAIRE

    Sour, Laura; Gutiérrez Andrade, Miguel Ángel

    2011-01-01

    This paper models the impact of extrinsic incentives in a tax compliance model. It also provides experimental evidence that confirms the existence of a positive relationship between rewards and tax compliance. If individuals are audited, rewards for honest taxpayers are effective in increasing the level of tax compliance. These results are particularly relevant in countries where there is little respect for tax law since rewards can contribute to crowding in the intrinsic motivation to comply.

  13. 7 CFR 799.13 - Environmental information.

    Science.gov (United States)

    2010-01-01

    ... AGRICULTURE ENVIRONMENTAL PROTECTION ENVIRONMENTAL QUALITY AND RELATED ENVIRONMENTAL CONCERNS-COMPLIANCE WITH THE NATIONAL ENVIRONMENTAL POLICY ACT § 799.13 Environmental information. Interested persons may... 7 Agriculture 7 2010-01-01 2010-01-01 false Environmental information. 799.13 Section...

  14. Hanford Site environmental report for calendar year 1989

    Energy Technology Data Exchange (ETDEWEB)

    Jaquish, R.E.; Bryce, R.W. (eds.)

    1990-05-01

    This report is a summary of the environmental status of the Hanford Site in 1989. It includes descriptions of the Site and its mission, the status of compliance with environmental regulations, planning and activities to accomplish compliance, environmental protection and restoration activities, and environmental monitoring. 97 refs., 67 figs., 14 tabs.

  15. Formalizing and applying compliance patterns for business process compliance

    NARCIS (Netherlands)

    Elgammal, A.F.S.A.; Türetken, O.; van den Heuvel, W.J.A.M.; Papazoglou, M.

    2016-01-01

    Today’s enterprises demand a high degree of compliance of business processes to meet diverse regulations and legislations. Several industrial studies have shown that compliance management is a daunting task, and organizations are still struggling and spending billions of dollars annually to ensure a

  16. Quality beyond compliance.

    Science.gov (United States)

    Centanni, N; Monroe, M; White, L; Larson, R

    1999-01-01

    The service sector within the biopharmaceutical industry has experienced phenomenal growth over the past decade. In the highly regulated Good Laboratory Practices environment, the need for timely, high-quality service, accurate results, and on-time deliverables becomes paramount for the success and profitability of biopharmaceutical companies. The quality assurance process is a vital component of this drug product-development cycle and ensures compliance to the highest domestic and international regulatory standards. Quality-assurance professionals historically have held the role of independent auditors of the processes, who certify that results meet current standards of practice. Covance, a contract research organization that includes Good Laboratory Practices laboratories, reorganized and expanded the functional responsibilities of its quality assurance team in 1997. Auditors and quality assurance professionals have assumed roles beyond traditional compliance auditing and are forging new leadership and mentoring roles as process-improvement specialists. The results have been tangible, measurable benefits for clients and the Covance organization. This article provides an overview of this cultural change and the processes put in place to improve efficiency, productivity, and customer and employee satisfaction.

  17. 40 CFR 63.2266 - Initial compliance demonstration for a veneer redryer.

    Science.gov (United States)

    2010-07-01

    ... veneer redryer. 63.2266 Section 63.2266 Protection of Environment ENVIRONMENTAL PROTECTION AGENCY... CATEGORIES National Emission Standards for Hazardous Air Pollutants: Plywood and Composite Wood Products Initial Compliance Requirements § 63.2266 Initial compliance demonstration for a veneer redryer. If...

  18. 40 CFR 63.2264 - Initial compliance demonstration for a hardwood veneer dryer.

    Science.gov (United States)

    2010-07-01

    ... hardwood veneer dryer. 63.2264 Section 63.2264 Protection of Environment ENVIRONMENTAL PROTECTION AGENCY... CATEGORIES National Emission Standards for Hazardous Air Pollutants: Plywood and Composite Wood Products Initial Compliance Requirements § 63.2264 Initial compliance demonstration for a hardwood veneer dryer....

  19. 40 CFR 63.2265 - Initial compliance demonstration for a softwood veneer dryer.

    Science.gov (United States)

    2010-07-01

    ... softwood veneer dryer. 63.2265 Section 63.2265 Protection of Environment ENVIRONMENTAL PROTECTION AGENCY... CATEGORIES National Emission Standards for Hazardous Air Pollutants: Plywood and Composite Wood Products Initial Compliance Requirements § 63.2265 Initial compliance demonstration for a softwood veneer dryer....

  20. 40 CFR Table 10 to Subpart G of... - Wastewater-Compliance Options for Wastewater Tanks

    Science.gov (United States)

    2010-07-01

    ... 40 Protection of Environment 9 2010-07-01 2010-07-01 false Wastewater-Compliance Options for Wastewater Tanks 10 Table 10 to Subpart G of Part 63 Protection of Environment ENVIRONMENTAL PROTECTION... Wastewater Pt. 63, Subpt. G, Table 10 Table 10 to Subpart G of Part 63—Wastewater—Compliance Options...

  1. HCl Quasi-Biennial Oscillation in the Stratosphere and a Comparison with Ozone QBO

    Institute of Scientific and Technical Information of China (English)

    2005-01-01

    HALOE data from 1992 to 2003 are used to analyze the interannual variation of the HCl volume mixing ratio and its quasi-biennial oscillation (QBO) in the stratosphere, and the results are compared with the ozone QBO. Then, the NCAR two-dimensional interactive chemical, dynamical and radiative model is used to study the effects of the wind QBO on the distribution and variation of HCl in the stratosphere.The results show that the QBO signals in the HCl mixing ratio are mainly at altitudes from 50 hPa to 5 hPa; the larger amplitudes are located between 30 hPa and 10 hPa; a higher HCl mixing ratio usually corresponds to the westerly phase of the wind QBO and a lower HCl mixing ratio usually corresponds to the easterly phase of the wind QBO in a level near 20 hPa and below. In the layer near 10 hPa-5 hPa, the phase of the HCl QBO reverses earlier than the phase of the wind QBO; the QBO signals for HCl in the extratropics are also clear, but with reversed phase compared with those over the Tropics. The HCl QBO signals at 30°N are clearer than those at 30°S; the QBOs for HCl and ozone have a similar phase at the 50hPa-20 hPa level while they are out of phase near 10 hPa; the simulated structures of the HCl QBO agree well with observations. The mechanism for the formation of the HCl QBO and the reason for differences in the vertical structure of the HCl and ozone QBO are attributed to the transport of HCl and ozone by the wind QBO-induced meridional circulation.

  2. The Strategic Nature of Compliance

    DEFF Research Database (Denmark)

    König, Thomas; Mäder, Lars Kai

    2014-01-01

    This compliance study models correct and timely implementation of policies in a multilevel system as a strategic game between a central monitoring agency and multiple implementers and evaluates statistically the empirical implications of this model. We test whether compliance is determined...

  3. Environmental report for 1989

    Energy Technology Data Exchange (ETDEWEB)

    Sims, J.M.; Surano, K.A.; Lamson, K.C.; Brown, M.G.; Gallegos, G.M. (eds.)

    1990-01-01

    This report documents the results of the Environmental Monitoring Program at the Lawrence Livermore National Laboratory (LLNL) and presents summary information about environmental compliance efforts for 1989. To enable evaluation of the effect of LLNL operations on the local environment, measurements were made at both the Livermore site and nearby Site 300 of direct radiation and a variety of radionuclides and chemical pollutants in ambient air, soil, sewage effluent, surface water, groundwater, vegetation, and foodstuff. Evaluations were made of LLNL's compliance with all applicable guides, standards, and limits for radiological and nonradiological emissions to the environment. The monitoring data demonstrate that LLNL was in compliance with environmental laws and regulations concerning emission and discharge of materials to the environment. In addition, the monitoring data demonstrate that the environmental impacts of LLNL are minimal and pose no threat to the public or the environment. 98 refs., 40 figs., 77 tabs.

  4. Environmental report for 1989

    Energy Technology Data Exchange (ETDEWEB)

    Sims, J.M.; Surano, K.A.; Lamson, K.C.; Brown, M.G.; Gallegos, G.M. (eds.)

    1990-01-01

    This report documents the results of the Environmental Monitoring Program at the Lawrence Livermore National Laboratory (LLNL) and presents summary information about environmental compliance efforts for 1989. To enable evaluation of the effect of LLNL operations on the local environment, measurements were made at both the Livermore site and nearby Site 300 of direct radiation and a variety of radionuclides and chemical pollutants in ambient air, soil, sewage effluent, surface water, groundwater, vegetation, and foodstuff. Evaluations were made of LLNL's compliance with all applicable guides, standards, and limits for radiological and nonradiological emissions to the environment. The monitoring data demonstrate that LLNL was in compliance with environmental laws and regulations concerning emission and discharge of materials to the environment. In addition, the monitoring data demonstrate that the environmental impacts of LLNL are minimal and pose no threat to the public or the environment. 98 refs., 40 figs., 77 tabs.

  5. Compliance with Segment Disclosure Initiatives

    DEFF Research Database (Denmark)

    Arya, Anil; Frimor, Hans; Mittendorf, Brian

    2013-01-01

    Regulatory oversight of capital markets has intensified in recent years, with a particular emphasis on expanding financial transparency. A notable instance is efforts by the Financial Accounting Standards Board that push firms to identify and report performance of individual business units...... (segments). This paper seeks to address short-run and long-run consequences of stringent enforcement of and uniform compliance with these segment disclosure standards. To do so, we develop a parsimonious model wherein a regulatory agency promulgates disclosure standards and either permits voluntary...... compliance or mandates strict compliance from firms. Under voluntary compliance, a firm is able to credibly withhold individual segment information from its competitors by disclosing data only at the aggregate firm level. Consistent with regulatory hopes, we show that mandatory compliance enhances welfare...

  6. 40 CFR 264.95 - Point of compliance.

    Science.gov (United States)

    2010-07-01

    ... 264.95 Protection of Environment ENVIRONMENTAL PROTECTION AGENCY (CONTINUED) SOLID WASTES (CONTINUED) STANDARDS FOR OWNERS AND OPERATORS OF HAZARDOUS WASTE TREATMENT, STORAGE, AND DISPOSAL FACILITIES Releases From Solid Waste Management Units § 264.95 Point of compliance. (a) The Regional Administrator...

  7. 40 CFR 205.55-4 - Labeling-compliance.

    Science.gov (United States)

    2010-07-01

    ... 40 Protection of Environment 24 2010-07-01 2010-07-01 false Labeling-compliance. 205.55-4 Section 205.55-4 Protection of Environment ENVIRONMENTAL PROTECTION AGENCY (CONTINUED) NOISE ABATEMENT PROGRAMS TRANSPORTATION EQUIPMENT NOISE EMISSION CONTROLS Medium and Heavy Trucks § 205.55-4...

  8. 40 CFR 205.55-2 - Compliance with standards.

    Science.gov (United States)

    2010-07-01

    ... 40 Protection of Environment 24 2010-07-01 2010-07-01 false Compliance with standards. 205.55-2 Section 205.55-2 Protection of Environment ENVIRONMENTAL PROTECTION AGENCY (CONTINUED) NOISE ABATEMENT PROGRAMS TRANSPORTATION EQUIPMENT NOISE EMISSION CONTROLS Medium and Heavy Trucks § 205.55-2...

  9. 40 CFR 160.17 - Effects of non-compliance.

    Science.gov (United States)

    2010-07-01

    ... 40 Protection of Environment 23 2010-07-01 2010-07-01 false Effects of non-compliance. 160.17 Section 160.17 Protection of Environment ENVIRONMENTAL PROTECTION AGENCY (CONTINUED) PESTICIDE PROGRAMS... refuse to consider reliable for purposes of supporting an application for a research or marketing...

  10. The World Heritage Convention, the environment, and compliance

    OpenAIRE

    Goodwin, Edward J.

    2009-01-01

    This Article highlights a particular strength of the World Heritage Convention within the international environmental law project that enhances conservation of natural areas, flora, and fauna. This strength relates to the World Heritage Convention’s ability to pull states towards meaningful compliance with obligations connected to protecting, conserving, presenting, and transferring to future generations the world’s natural (and cultural) heritage.

  11. 40 CFR 471.03 - Compliance date for PSES.

    Science.gov (United States)

    2010-07-01

    ... 40 Protection of Environment 29 2010-07-01 2010-07-01 false Compliance date for PSES. 471.03 Section 471.03 Protection of Environment ENVIRONMENTAL PROTECTION AGENCY (CONTINUED) EFFLUENT GUIDELINES AND STANDARDS NONFERROUS METALS FORMING AND METAL POWDERS POINT SOURCE CATEGORY General...

  12. Compliance with physical exercise

    DEFF Research Database (Denmark)

    Gram, Anne Sofie; Bønnelycke, Julie; Rosenkilde Larsen, Mads

    2014-01-01

    , a moderate (MOD; 300 kcal/day) or a high-dose (HIGH; 600 kcal/day) endurance exercise group for 12 weeks. A sub-set of the subjects were interviewed using pre-determined, qualitative questions to elucidate physical activity and health behaviour. In combination with the Theory of Planned Behaviour (TPB......Aims: Sixty-one healthy, sedentary, moderately overweight young men participated in a randomised controlled trial to examine the effects of two different doses of endurance exercise on health behaviour and exercise compliance. Methods: Participants were randomised to a sedentary control group...... improved various metabolic health parameters. The MOD group was untroubled by the exercise load and had a positive attitude towards exercise. The HIGH group expressed increased fatigue, less positivity and perceived exercise as time-consuming. The MOD group described themselves as more energetic...

  13. Update on the diabetic foot 2012: the 14th biennial Malvern Diabetic Foot Conference, May 9-11, 2012.

    Science.gov (United States)

    Lamont, Peter; Franklyn, Kerryn; Rayman, Gerry; Boulton, Andrew J M

    2013-03-01

    The 14th biennial Malvern Diabetic Foot Conference was held in May 2012. Physicians, podiatrists, nurses, orthotists, surgeons, radiologists, and other professionals attended to reflect on the diabetic foot. The conference comprised interactive workshops, oral presentations of new research findings, and lectures from leading figures in the world of the diabetic foot. Over the 3 days, topics such as epidemiology, neuropathy, screening, vascular disease, prevention, and management among others were discussed. The conference has been an excellent platform from which to share new and ongoing research and it will without a doubt improve the treatment of the diabetic foot across the world.

  14. Annual Site Environmental Report (ASER 1999)

    Energy Technology Data Exchange (ETDEWEB)

    Holden, Gene

    2000-08-28

    This report provides information about environmental programs and compliance with environmental regulations in calendar year 1999 (CY99) at the Stanford Linear Accelerator Center (SLAC). The most noteworthy information in this report is summarized in this section.

  15. EPA Region 2 Discharge Pipes for Facilites with NPDES Permits from the Permit Compliance GIS Layer

    Data.gov (United States)

    U.S. Environmental Protection Agency — The Permit and Compliance System (PCS) contains data on the National Pollution Discharge Elimination Systems (NPDES) permit-holding facilities. This includes...

  16. EPA Enforcement and Compliance History Online: EPA Enforcement Action Data Set

    Data.gov (United States)

    U.S. Environmental Protection Agency — The Enforcement and Compliance History Online (ECHO) data sets have been compiled for access to larger sets of national data to ensure that ECHO meets your data...

  17. EPA Enforcement and Compliance History Online: Legacy System Clean Air Act Data Set (ZIP)

    Data.gov (United States)

    U.S. Environmental Protection Agency — The Enforcement and Compliance History Online (ECHO) data sets have been compiled for access to larger sets of national data to ensure that ECHO meets your data...

  18. EPA Enforcement and Compliance History Online: Clean Water Act Dischargers Data Set (effluent violations)

    Data.gov (United States)

    U.S. Environmental Protection Agency — The Enforcement and Compliance History Online (ECHO) data sets have been compiled for access to larger sets of national data to ensure that ECHO meets your data...

  19. EPA Enforcement and Compliance History Online: Clean Air Act Data Set (ZIP)

    Data.gov (United States)

    U.S. Environmental Protection Agency — The Enforcement and Compliance History Online (ECHO) data sets have been compiled for access to larger sets of national data to ensure that ECHO meets your data...

  20. EPA Enforcement and Compliance History Online: Clean Water Act Dischargers Data Set

    Data.gov (United States)

    U.S. Environmental Protection Agency — The Enforcement and Compliance History Online (ECHO) data sets have been compiled for access to larger sets of national data to ensure that ECHO meets your data...

  1. EPA Enforcement and Compliance History Online: Hazardous Waste Sites Data Set

    Data.gov (United States)

    U.S. Environmental Protection Agency — The Enforcement and Compliance History Online (ECHO) data sets have been compiled for access to larger sets of national data to ensure that ECHO meets your data...

  2. Sea-ice cover anomalies in the Arctic Basin associated with atmospheric variability from multi-decadal trends to intermittent quasi-biennial oscillations

    Directory of Open Access Journals (Sweden)

    Motoyoshi Ikeda

    2012-06-01

    Full Text Available Arctic Ocean sea ice has been diminishing since 1970, as shown by National Snow and Ice Data Center data. In addition to decadal variability, low ice anomalies in the Pacific–Siberian region have been occurring at shorter timescales. The influence of the widely-known Northern Annular Mode (NAM occurs across all seasons. In this study, empirical orthogonal function (EOF analysis was applied to sea-level pressure in National Centers for Environmental Prediction Reanalysis data for 1960–2007, showing the NAM to be the leading mode of variability and the Arctic Dipole Mode (ADM to be the second leading mode. The ADM changes markedly across seasons. In autumn–winter, it has a pole over Siberia and a pole over Greenland, at opposite signs at a several-year scale, whereas the spring–summer ADM (ADMSS has a pole over Europe and a pole over Canada. In the 1980s, the most influential mode shifted from the NAM to the ADM, when the Pacific sector had low ice cover at a 1-year lag from the positive ADM, which was marked by low pressure over Siberia. In years when the ADMSS was pronounced, it was responsible for distinct ice variability over the East Siberian–Laptev seas. The frequency separation in this study identified the contributions of the ADM and ADMSS. Effects of the latter are difficult to predict since it is intermittent and changes its sign biennially. The ADM and ADMSS should be closely watched in relation to the ongoing ice reduction in the Pacific–Siberian region.

  3. Evaluation of corporate income tax compliance costs and compliance behaviour under the self-assessment system

    OpenAIRE

    Sapiei, Noor Sharoja

    2017-01-01

    Commitment to compliance may cause taxpayers to experience unnecessary compliance costs burden resulting in non-compliance behaviour. This study evaluates the tax compliance costs of corporate taxpayers and their compliance with the corporate income tax (CIT) reporting requirements under the Self-Assessment System (SAS) environment. Tax compliance costs, corporate characteristics, tax attitudinal aspects and the likely compliance behaviour of public listed companies (PLCs) are integrated into...

  4. Regulatory treatment of allowances and compliance costs

    Energy Technology Data Exchange (ETDEWEB)

    Rose, K. [National Regulatory Research Institute, Columbus, OH (United States)

    1993-07-01

    The Clean Air Act Amendments of 1990 (CAAA) established a national emission allowance trading system, a market-based form of environmental regulation designed to reduce and limit sulfur dioxide emissions. However, the allowance trading system is being applied primarily to an economically regulated electric utility industry. The combining of the new form of environmental regulation and economic regulation of electric utilities has raised a number of questions including what the role should be of the federal and state utility regulating commissions and how those actions will affect the decision making process of the utilities and the allowance market. There are several dimensions to the regulatory problems that commissions face. Allowances and utility compliance expenditures have implications for least-cost/IPR (integrated resource planning), prudence review procedures, holding company and multistate utility regulation and ratemaking treatment. The focus of this paper is on the ratemaking treatment. The following topics are covered: ratemaking treatment of allowances and compliance costs; Traditional cost-recovery mechanisms; limitations to the traditional approach; traditional approach and the allowance trading market; market-based cost recovery mechanisms; methods of determining the benchmark; determining the split between ratepayers and the utility; other regulatory approaches; limitations of incentive mechanisms.

  5. Low-dose computed tomography for lung cancer screening: comparison of performance between annual and biennial screen

    Energy Technology Data Exchange (ETDEWEB)

    Sverzellati, Nicola; Silva, M. [University of Parma, Radiology, Department of Surgical Sciences, Parma (Italy); Calareso, G.; Marchiano, A. [Fondazione IRCCS Istituto Nazionale dei Tumori, Department of Radiology, Milan (Italy); Galeone, C. [University of Milano-Bicocca, Department of Statistics and Quantitative Methods, Division of Biostatistics, Epidemiology and Public Health, Laboratory of Healthcare Research and Pharmacoepidemiology, Milan (Italy); Sestini, S.; Pastorino, U. [Fondazione IRCCS Istituto Nazionale dei Tumori, Department of Surgery, Section of Thoracic Surgery, Milan (Italy); Sozzi, G. [Fondazione IRCCS Istituto Nazionale dei Tumori, Tumor Genomics Unit, Department of Experimental Oncology and Molecular Medicine, Milan (Italy)

    2016-11-15

    To compare the performance metrics of two different strategies of lung cancer screening by low-dose computed tomography (LDCT), namely, annual (LDCT1) or biennial (LDCT2) screen. Recall rate, detection rate, interval cancers, sensitivity, specificity, positive and negative predictive values (PPV and NPV, respectively) were compared between LDCT1 and LDCT2 arms of the MILD trial over the first seven (T0-T6; median follow-up 7.3 years) and four rounds (T0-T3; median follow-up 7.3 years), respectively. 1152 LDCT1 and 1151 LDCT2 participants underwent a total of 6893 and 4715 LDCT scans, respectively. The overall recall rate was higher in LDCT2 arm (6.97 %) than in LDCT1 arm (5.81 %) (p = 0.01), which was counterbalanced by the overall lower number of LDCT scans. No difference was observed for the overall detection rate (0.56 % in both arms). The two LDCT arms had similar specificity (99.2 % in both arms), sensitivity (73.5 %, in LDCT2 vs. 68.5 % in LDCT1, p = 0.62), PPV (42.4 %, in LDCT2, vs. 40.6 %, in LDCT1, p = 0.83) and NPV (99.8 %, in LDCT2 vs. 99.7 %, in LDCT1, p = 0.71). Biennial screen may save about one third of LDCT scans with similar performance indicators as compared to annual screening. (orig.)

  6. Oil Mist Compliance

    Energy Technology Data Exchange (ETDEWEB)

    Lazarus, Lloyd

    2009-02-02

    This report summarizes activities at the KCP related to evaluating and modifying machine tools in order to be in compliance with Section 23 of DOE 10 CFR 851, Worker Safety and Health Program. Section 851.23 (a) states that “Contractors must comply with the following safety and health standards that are applicable to the hazards in their covered workplace”, and subsection 9 contains the following applicable standard: “American Congress of Governmental Industrial Hygienists (ACGIH), ‘Threshold Limit Values for Chemical Substances and Physical Agents and Biological Exposure Indices,’ (2005) (incorporated by reference, see §851.27) when the ACGIH Threshold Limit Values are lower (more protective) than permissible exposure limits in 29 CFR 1910.” In the 2005 ACGIH – Threshold Limit Value book a Notice of Change was issued for exposure to mineral oil mist used in metalworking fluids (MWFs). The effects of planning for the new facility and which machine tools would be making the transition to the new facility affected which machine tools were modified.

  7. Site Environmental Report for 2015

    Energy Technology Data Exchange (ETDEWEB)

    Pauer, Ron O. [Lawrence Berkeley National Lab. (LBNL), Berkeley, CA (United States); Baskin, David A. [Lawrence Berkeley National Lab. (LBNL), Berkeley, CA (United States); Borglin, Ned K. [Lawrence Berkeley National Lab. (LBNL), Berkeley, CA (United States); Fox, Robert A. [Lawrence Berkeley National Lab. (LBNL), Berkeley, CA (United States); Harvey, Zachary R. [Lawrence Berkeley National Lab. (LBNL), Berkeley, CA (United States); Jelinski, John A. [Lawrence Berkeley National Lab. (LBNL), Berkeley, CA (United States); Kassis, Maram M. [Lawrence Berkeley National Lab. (LBNL), Berkeley, CA (United States); Muhlholland, Brendan J. [Lawrence Berkeley National Lab. (LBNL), Berkeley, CA (United States); Thorson, Patrick A. [Lawrence Berkeley National Lab. (LBNL), Berkeley, CA (United States); Xu, Suying Y. [Lawrence Berkeley National Lab. (LBNL), Berkeley, CA (United States); Sutherland, Nancy L. [Lawrence Berkeley National Lab. (LBNL), Berkeley, CA (United States); Wehle, Petra C. [Lawrence Berkeley National Lab. (LBNL), Berkeley, CA (United States)

    2016-09-30

    The annual Site Environmental Report documents Lawrence Berkeley National Laboratory’s performance in reducing its environmental impacts, progress toward cleaning up groundwater contamination, and compliance with applicable Department of Energy, federal, state, and local environmental regulations. The report is required by DOE Order 231.1B, Environment, Safety, and Health Reporting.

  8. Conceptual model about the interaction between El Nio/ Southern Oscillation and Quasi-Biennial Oscillation in far west equatorial Pacific

    Institute of Scientific and Technical Information of China (English)

    LIU; Qinyu

    2006-01-01

    [1]White W B,Cayan D R.A global El Nino-Southern Oscillation wave in surface temperature and pressure and its interdecadal modulation from 1900 to 1996.J Geophys Res,2000,105 C5:11223-11242[2]White W B,Allan R J.A global quasi-biennial wave in surface temperature and pressure and its decadal modulation from 1900 to 1994.J Geophys Res,2001,106 C11:26789-26803[3]Jin F F,Neelin D,Ghil M.El Nino on the Devil's staircase:Annual subharmonic steps to chaos.Science,1994,264:70-72[4]Tziperman E,Stone L,Cane M,et al.El Nino chaos:Overlapping of resonances between the seasonal and the Pacific ocean-atmos-phere oscillator.Science,1994,264:72-74[5]Flügel M,Chang P.Stochastically induced climate shift of El Nino-Southern Oscillation.Geophys Res Lett,1999,26(16):2473-2477[6]Clarke A J,Liu X,Gorder S V.Dynamic of the biennial oscillation in the equatorial Indian and far western Pacific Oceans.J Clim,1998,11:987-1001[7]Lau K M,Wu H T.Assessment of the impacts of the 1997-98 El Nino on the Asian-Australia Monsoon.Geophys Res Lett,1999,26(12):1747-1750[8]Chang C P,Li T.A theory for the tropospheric biennial oscillation.J Atmos Sci,2000,57:2209-2224[9]Wang B,Wu R,Fu X.Pacific-East Asian teleconnection:How does ENSO affect East Asian climate? J Clim,2000,13:1517-1536[10]Li C,Hu J.A analysis of interaction between the atmospheric circulation over East Asia/Northwest Pacific and El Nino.Chin J Atmos Sci,1987,11:411-420[11]Liu Z.A simple model study of ENSO suppression by external periodic forcing.J Clim,2002,15:1088-1098[12]Pan A,Liu Q,Liu Z.Periodic forcing and ENSO supression in the Cane-Zibiak Model J Oceanogr,2005,61(1):109-113[13]Weisberg R H,Wang C.A Western Pacific oscillator paradigm for the El Nino-Southern Oscillation.Geophys Res Lett,1997,24:779-782[14]Wang B,Wu R,Lukas R.Roles of the western North Pacific wind variation in thermocline adjustment and ENSO phase transition.J Meteor Soc Japan,1999,77:1-16[15]Wang C,Weisberg R H,Virmani J I.Western Pacific interannual

  9. Environmental effectiveness of GAEC cross-compliance standard 4.1 (b, c ‘Protection of permanent pasture land’ and economic evaluation of the competitiveness gap for farmers

    Directory of Open Access Journals (Sweden)

    Mauro Salis

    2015-11-01

    Full Text Available The paper presents the main results of the monitoring on the effectiveness of the cross-compliance Standard 4.1 ‘Permanent pasture protection: lett. b, c’ carried out in two case studies within the project MO.NA.CO. Soil, botanical, productive and economic (competitiveness gap parameters have been monitored. In the short term, the Standard 4.1 showed its effectiveness on soil quality, biomass productivity and competitiveness gap in both case studies. Botanical parameters showed differing results, therefore their generalization is not applicable to the heterogeneity of the pasture land Italian system. Shallow soil tillage could be suggested, every 40-50 years, when an appropriate soil organic matter content and the absence of runoff phenomena occur.

  10. 10 CFR 434.604 - Compliance.

    Science.gov (United States)

    2010-01-01

    ... energy consumption shall be measured at the building five foot line for all fuels. Energy consumed from... BUILDINGS Building Energy Compliance Alternative § 434.604 Compliance. 604.1 Compliance with this section is... 10 Energy 3 2010-01-01 2010-01-01 false Compliance. 434.604 Section 434.604 Energy DEPARTMENT...

  11. 14 CFR 26.49 - Compliance plan.

    Science.gov (United States)

    2010-01-01

    ... 14 Aeronautics and Space 1 2010-01-01 2010-01-01 false Compliance plan. 26.49 Section 26.49... Data for Repairs and Alterations § 26.49 Compliance plan. (a) Compliance plan. Except for applicants... January 11, 2008, each person identified in §§ 26.43, 26.45, and 26.47, must submit a compliance...

  12. 40 CFR 469.11 - Compliance dates.

    Science.gov (United States)

    2010-07-01

    ... 40 Protection of Environment 29 2010-07-01 2010-07-01 false Compliance dates. 469.11 Section 469... Compliance dates. The compliance deadline for the BAT fluoride limitation shall be as soon as possible as... determined by the permit writer, but in no event later than July 1, 1984. The compliance date for PSES...

  13. 40 CFR 469.21 - Compliance dates.

    Science.gov (United States)

    2010-07-01

    ... 40 Protection of Environment 29 2010-07-01 2010-07-01 false Compliance dates. 469.21 Section 469....21 Compliance dates. The compliance date for the BAT fluoride limitation is as soon as possible as determined by the permit writer but in no event later than November 8, 1985. The compliance date for PSES...

  14. Hazardous Waste Compliance Program Plan

    Energy Technology Data Exchange (ETDEWEB)

    Potter, G.L.; Holstein, K.A.

    1994-05-01

    The Hazardous Waste Compliance Program Plan (HWCPP) describes how the Rocky Flats Plant institutes a more effective waste management program designed to achieve and maintain strict adherence to the Resource Conservation and Recovery Act (RCRA) requirements. Emphasis is given to improve integration of line operations with programmatic and functional support activities necessary to achieve physical compliance to RCRA regulated equipment, facilities and operations at the floor level. This program focuses on specific activities occurring or which need to occur within buildings containing RCRA regulated units and activities. The plan describes a new approach to achieving and maintaining compliance. This approach concentrates authority and accountability for compliance with the line operating personnel, with support provided from the programmatic functions. This approach requires a higher degree of integration and coordination between operating and program support organizations. The principal changes in emphases are; (1) increased line operations involvement, knowledge and accountability in compliance activities, (2) improved management systems to identify, correct and/or avoid deficiencies and (3) enhanced management attention and employee awareness of compliance related matters.

  15. Anti-oxidative effects of the biennial flower of Panax notoginseng against H2O2-induced cytotoxicity in cultured PC12 cells

    Directory of Open Access Journals (Sweden)

    Chen Jijun

    2010-10-01

    Full Text Available Abstract Background Radix notoginseng is used in Chinese medicine to improve blood circulation and clotting; however, the pharmacological activities of other parts of Panax notoginseng have yet to be explored. The present study reports the anti-oxidative effects of various parts of Panax notoginseng. Methods Various parts of Panax notoginseng, including the biennial flower, stem-leaf, root-rhizome, fiber root and sideslip, were used to prepare extracts and analyzed for their anti-oxidation effects, namely suppressing xanthine oxidase activity, H2O2-induced cytotoxicity and H2O2-induced ROS formation. Results Among various parts of the herb (biennial flower, stem-leaf, root-rhizome, fiber root and sideslip, the water extract of the biennial flower showed the strongest effects in (i inhibiting the enzymatic activity of xanthine oxidase and (ii protecting neuronal PC12 cells against H2O2-induced cytotoxicity. Only the water extracts demonstrated such anti-oxidative effects while the ethanol extracts did not exert significant effects in suppressing xanthine oxidase and H2O2-induced neuronal cytotoxicity. Conclusions The present study demonstrates the biennial flower of Panax notoginseng to have neuroprotection effect on cultured neurons and the underlying protection mechanism may involve anti-oxidation.

  16. Environmental Implementation Plan

    Energy Technology Data Exchange (ETDEWEB)

    1994-02-01

    The Environmental Implementation Plan (EIP) is a dynamic long-range environmental-protection plan for SRS. The EIP communicates the current and future (five year) environmental plans from individual organizations and divisions as well as site environmental initiatives which are designed to protect the environment and meet or exceed compliance with changing environmental/ regulatory requirements. Communication with all site organizations is essential for making the site environmental planning process work. Demonstrating environmental excellence is a high priority embodied in DOE and WSRC policy. Because of your support and participation in the three EIP initiatives; Reflections, Sectional Revision, and Integrated Planning, improvements are being made to the EIP and SRS environmental protection programs. I appreciate the ``Partnership in Environmental Excellence`` formed by the environmental coordinators and professionals who work daily toward our goal of compliance and environmental excellence. I look forward to seeing continued success and improvement in our environmental protection programs through combined efforts of all site organizations to protect our employees, the public health, and the environment. Together, we will achieve our site vision for SRS to be the recognized model for Environmental Excellence in the DOE Nuclear Weapons Complex.

  17. Hanford Site comprehensive compliance evaluation report

    Energy Technology Data Exchange (ETDEWEB)

    Haggard, R.D.

    1998-08-13

    On September 9, 1992, the US Environmental Protection Agency (EPA) issued General Permit No. WA-R-00-OOOF, Authorization to Discharge Under the National Pollutant Discharge Elimination System (NPDES) for Storm Water Discharges Associated with Industrial Activity to the US Department of Energy, Richland Operations Office (DOE-RL). DOE-RL submitted a Notice of Intent to comply with this permit to the EPA in accordance with the General Permit requirements on October 1, 1992. On February 14, 1994, EPA issued a Storm Water General Permit Coverage Notice (WA-R-00-Al 7F). The Hanford Site Storm Water Pollution Prevention Plan (SWPPP) (WHC-SD-EN-EV-02 1) was certified by DOE-RL on September 24, 1996, in compliance with Part 4.B(i) of the General Permit. As required by General Permit, Section 4, Part D, Section 4.c, an annual report must be developed by DOE-RL and retained onsite to verify that the requirements listed in the General Permit are implemented. This document fulfills the requirement to prepare an annual report and contains the results of inspections of the storm water discharges listed in Appendix B. This report also describes the methods used to conduct the Storm Water Comprehensive Site Compliance Evaluation (SWCSCE) as required in the General Permit, Part 4, Section D.4.c; summarizes the results of the compliance evaluation; and documents significant leaks and spills. The time frames for this SWCSCE report is July 1, 1997 through June 30, 1998. There were no significant spills or leaks during this reporting period.

  18. 2006 SITE ENVIRONMENTAL REPORT

    Energy Technology Data Exchange (ETDEWEB)

    BROOKHAVEN NATIONAL LABORATORY; RATEL,K.

    2007-10-01

    Each year, Brookhaven National Laboratory (BNL) prepares an annual Site Environmental Report (SER) in accordance with DOE Order 231.1A, Environment, Safety and Health Reporting of the U.S. Department of Energy. The report is written to inform the public, regulators, employees, and other stakeholders of BNL's environmental performance during the calendar year in review. The SER summarizes environmental data; environmental management performance; compliance with applicable DOE, federal, state, and local regulations; and compliance, restoration, and surveillance monitoring program performance. BNL has prepared annual SERs since 1971 and has documented nearly all of its environmental history since the Laboratory's inception in 1947. The report is available in print and as a downloadable file on the BNL web page at http://www.bnl.gov/ewms/ser/. A summary of the SER is also prepared each year to provide a general overview of the report, and is distributed with a CD of the full report.

  19. 2009 Site Environmental Report

    Energy Technology Data Exchange (ETDEWEB)

    Ratel, K.M.; Brookhaven National Laboratory

    2010-09-30

    Each year, Brookhaven National Laboratory (BNL) prepares an annual Site Environmental Report (SER) in accordance with DOE Order 231.1A, Environment, Safety and Health Reporting of the U.S. Department of Energy. The report is written to inform the public, regulators, employees, and other stakeholders of BNL's environmental performance during the calendar year in review. The SER summarizes environmental data; environmental management performance; compliance with applicable DOE, federal, state, and local regulations; and compliance, restoration, and surveillance monitoring program performance. BNL has prepared annual SERs since 1971 and has documented nearly all of its environmental history since the Laboratory's inception in 1947. The report is available in print and as a downloadable file on the BNL web page at http://www.bnl.gov/ewms/ser/. A summary of the SER is also prepared each year to provide a general overview of the report, and is distributed with a CD of the full report.

  20. 78 FR 32269 - Notice of Availability of the Final Environmental Impact Statement/Environmental Impact Report...

    Science.gov (United States)

    2013-05-29

    ... Office of the Secretary Notice of Availability of the Final Environmental Impact Statement/Environmental Impact Report for Klamath Facilities Removal AGENCY: Office of Environmental Policy and Compliance... Department of Fish and Wildlife have prepared a final environmental impact statement and environmental...

  1. 1994 Site Environmental Report

    Energy Technology Data Exchange (ETDEWEB)

    NONE

    1995-05-01

    The 1994 Site Environmental Report summarizes environmental activities at Lawrence Berkeley Laboratory (LBL) for the calendar year (CY) 1994. The report strives to present environmental data in a manner that characterizes the performance and compliance status of the Laboratory`s environmental management programs when measured against regulatory standards and DOE requirements. The report also discusses significant highlight and planning efforts of these programs. The format and content of the report are consistent with the requirements of the US Department of Energy (DOE) Order 5400.1, General Environmental Protection Program.

  2. Environmental Requirements Management

    Energy Technology Data Exchange (ETDEWEB)

    Cusack, Laura J.; Bramson, Jeffrey E.; Archuleta, Jose A.; Frey, Jeffrey A.

    2015-01-08

    CH2M HILL Plateau Remediation Company (CH2M HILL) is the U.S. Department of Energy (DOE) prime contractor responsible for the environmental cleanup of the Hanford Site Central Plateau. As part of this responsibility, the CH2M HILL is faced with the task of complying with thousands of environmental requirements which originate from over 200 federal, state, and local laws and regulations, DOE Orders, waste management and effluent discharge permits, Comprehensive Environmental Response, Compensation, and Liability Act (CERCLA) response and Resource Conservation and Recovery Act (RCRA) corrective action documents, and official regulatory agency correspondence. The challenge is to manage this vast number of requirements to ensure they are appropriately and effectively integrated into CH2M HILL operations. Ensuring compliance with a large number of environmental requirements relies on an organization’s ability to identify, evaluate, communicate, and verify those requirements. To ensure that compliance is maintained, all changes need to be tracked. The CH2M HILL identified that the existing system used to manage environmental requirements was difficult to maintain and that improvements should be made to increase functionality. CH2M HILL established an environmental requirements management procedure and tools to assure that all environmental requirements are effectively and efficiently managed. Having a complete and accurate set of environmental requirements applicable to CH2M HILL operations will promote a more efficient approach to: • Communicating requirements • Planning work • Maintaining work controls • Maintaining compliance

  3. Disease management and medication compliance.

    Science.gov (United States)

    Cohen, Joshua; Christensen, Kathyrn; Feldman, Lanna

    2012-02-01

    Lack of medication compliance is harmful to health care systems from both a clinical and economic perspective. This study examines the methods that disease management organizations employ to identify nonadherent patients and to measure effectiveness of compliance programs for patients with diabetes, hyperlipidemia, and cystic fibrosis. In addition, this study investigates the degree to which disease managers assume risk in their contracts, and whether compliance strategies are being coordinated with payers' use of value-based insurance design, in which patient cost sharing is a function of the relative value of pharmaceuticals. This study's findings suggest that disease management may be falling short in terms of: (a) comprehensive commitment to expert-recommended at-home devices used to self-diagnose and measure health indicators; (b) early adoption of expert-recommended new technologies to measure and improve compliance; (c) intensity of use of standard tests in outpatient clinics; (d) coordination of compliance strategies with payers' use of value-based insurance design; and (e) the proportion of risk assumed in disease management contracts.

  4. COMPLIANCE STUDIES: WHAT ABOUT THE FISH?

    Energy Technology Data Exchange (ETDEWEB)

    Woodley, Christa M.; Fischer, Eric S.; Wagner, Katie A.; Weiland, Mark A.; Eppard, M. B.; Carlson, Thomas J.

    2013-08-21

    ABSTRACT It is understood that operational and structural conditions at hydroelectric facilities along with environmental conditions of the migration corridors affect the passage conditions for fish. Hydropower fish survival assessments at the individual- and population-level have progressed over the past decade with development of turbine simulation software and improvements in telemetry systems, in particular, micro-transmitters, cabled and autonomous receivers, and advanced statistical designs that provide precise estimates of passage routes and dam-passage survival. However, these approaches often ignore fish condition as a variable in passage and survival analyses. To account for fish condition effects on survival results, compliance statistical models often require increased numbers of tagged fish. For example, prior to and during migration, fish encounter numerous stressors (e.g., disease, predation, contact with structures, decompression events), all of which can cause physical and physiological stress, altering the probability of survival after passage through a dam or a series of dams. In addition, the effects of surgical transmitter implantation process or the transmitter itself may cause physiological stress, alter behavior, and/or decrease survival. Careful physiological evaluations can augment survival model assumptions, resultant data, and predictive scenarios. To exemplify this, surgeons concurrently noted fish condition and surgical implantation during a multi-dam compliance study in 2011. The analyses indicted that surgeon observations on fish condition and surgical outcomes were related to 24 h holding mortalities and fish that never detected after release. Short reach and long reach survival were related to surgical outcomes and fish condition, respectively.

  5. Corporate compliance and voluntary disclosure.

    Science.gov (United States)

    Schiff, A B

    1995-09-01

    In any event, the decision to institute a corporate compliance program is a relatively simple one. In view of the ambiguity surrounding certain fraud and abuse provisions, and the corporate "death sentence" that may result from program exclusion, a compliance program is always sound corporate policy. To be sure, if the compliance program is administered improperly, it can actually increase the likelihood of whistleblower actions and create a body of potentially hurtful documentation. But these dangers can be minimized by structuring the program to protect the self-evaluative process through relevant privileges. The risks also pale in comparison to the exposure to criminal or exclusionary sanctions when improper conduct goes undetected by an organization.

  6. 40 CFR 1068.250 - What are the provisions for extending compliance deadlines for small businesses under hardship?

    Science.gov (United States)

    2010-07-01

    ... ENVIRONMENTAL PROTECTION AGENCY (CONTINUED) AIR POLLUTION CONTROLS GENERAL COMPLIANCE PROVISIONS FOR ENGINE..., technical, and economic steps to comply. (i) In the case of importers of engines/equipment produced by other... manufacturers, show that the burden of compliance costs prevents you from meeting the requirements of...

  7. 40 CFR 80.415 - What are the attest engagement requirements for gasoline sulfur compliance applicable to refiners...

    Science.gov (United States)

    2010-07-01

    ...; minus (D) Used under paragraph (k)(4) of this section for demonstrating compliance with the corporate... requirements for gasoline sulfur compliance applicable to refiners and importers? 80.415 Section 80.415 Protection of Environment ENVIRONMENTAL PROTECTION AGENCY (CONTINUED) AIR PROGRAMS (CONTINUED) REGULATION...

  8. Hanford Site environmental report for calendar year 1994

    Energy Technology Data Exchange (ETDEWEB)

    Dirkes, R.L.; Hanf, R.W. [eds.

    1995-06-01

    This Hanford Site Environmental Report is prepared annually pursuant to DOE Order 5400.1 to summarize environmental data that characterize Hanford Site environmental management performance and demonstrate compliance status. The report also highlights significant environmental programs and efforts. More detailed environmental compliance, monitoring, surveillance, and study reports may be of value; therefore, to the extent practical, these additional reports have been referenced in the text. Individual papers have been indexed separately for the database.

  9. Social influence: compliance and conformity.

    Science.gov (United States)

    Cialdini, Robert B; Goldstein, Noah J

    2004-01-01

    This review covers recent developments in the social influence literature, focusing primarily on compliance and conformity research published between 1997 and 2002. The principles and processes underlying a target's susceptibility to outside influences are considered in light of three goals fundamental to rewarding human functioning. Specifically, targets are motivated to form accurate perceptions of reality and react accordingly, to develop and preserve meaningful social relationships, and to maintain a favorable self-concept. Consistent with the current movement in compliance and conformity research, this review emphasizes the ways in which these goals interact with external forces to engender social influence processes that are subtle, indirect, and outside of awareness.

  10. Tax Compliance Inventory: TAX-I Voluntary tax compliance, enforced tax compliance, tax avoidance, and tax evasion.

    Science.gov (United States)

    Kirchler, Erich; Wahl, Ingrid

    2010-06-01

    Surveys on tax compliance and non-compliance often rely on ad hoc formulated items which lack standardization and empirical validation. We present an inventory to assess tax compliance and distinguish between different forms of compliance and non-compliance: voluntary versus enforced compliance, tax avoidance, and tax evasion. First, items to measure voluntary and enforced compliance, avoidance, and evasion were drawn up (collected from past research and newly developed), and tested empirically with the aim of producing four validated scales with a clear factorial structure. Second, findings from the first analyses were replicated and extended to validation on the basis of motivational postures. A standardized inventory is provided which can be used in surveys in order to collect data which are comparable across research focusing on self-reports. The inventory can be used in either of two ways: either in its entirety, or by applying the single scales independently, allowing an economical and fast assessment of different facets of tax compliance.

  11. Hanford Site Environmental Report 1993

    Energy Technology Data Exchange (ETDEWEB)

    Dirkes, R.L.; Hanf, R.W.; Woodruff, R.K. [eds.

    1994-06-01

    The Hanford Site Environmental Report is prepared annually to summarize environmental data and information, describe environmental management performance, and demonstrate the status of compliance with environmental regulations. The report also highlights major environmental programs and efforts. The report is written to meet reporting requirements and Guidelines of the U.S. Department of Energy (DOE) an to meet the needs of the public. This summary has been written with a minimum of technical terminology. Individual sections of the report are designed to (a) describe the Hanford Site and its mission, (b) summarize the status in 1993 of compliance with environmental regulations, (c) describe the environmental programs at the Hanford Site, (d) discuss estimated radionuclide exposure to the public from 1993 Hanford activities, (e) present information on effluent monitoring and environmental surveillance, including ground-water protection and monitoring, (f) discuss activities to ensure quality. More detailed information can be found in the body of the report, the appendixes, and the cited references.

  12. Hanford Site 1998 Environmental Report

    Energy Technology Data Exchange (ETDEWEB)

    RL Dirkes; RW Hanf; TM Poston

    1999-09-21

    This Hanford Site environmental report is prepared annually to summarize environmental data and information, to describe environmental management performance, to demonstrate the status of compliance with environmental regulations, and to highlight major environmental programs and efforts. The report is written to meet requirements and guidelines of the U.S. Department of Energy (DOE) and to meet the needs of the public. This summary has been written with a minimum of technical terminology. Individual sections of the report are designed to: describe the Hanford Site and its mission; summarize the status of compliance with environmental regulations; describe the environmental programs at the Hanford Site; discuss the estimated radionuclide exposure to the public from 1998 Hanford Site activities; present the effluent monitoring, environmental surveillance, and groundwater protection and monitoring information; and discuss the activities to ensure quality.

  13. Hanford Site Environmental Report 1999

    Energy Technology Data Exchange (ETDEWEB)

    TM Poston; RW Hanf; RL Dirkes

    2000-09-28

    This Hanford Site environmental report is prepared annually to summarize environmental data and information, to describe environmental management performance, to demonstrate the status of compliance with environmental regulations, and to highlight major environmental programs and efforts. The report is written to meet requirements and guidelines of the U.S. Department of Energy (DOE) and to meet the needs of the public. This summary has been written with a minimum of technical terminology. Individual sections of the report are designed to: (1) describe the Hanford Site and its mission; (2) summarize the status of compliance with environmental regulations; (3) describe the environmental programs at the Hanford Site; (4) discuss the estimated radionuclide exposure to the public from 1999 Hanford Site activities; (5) present the effluent monitoring, environmental surveillance, groundwater protection and monitoring information; and (6) discuss the activities to ensure quality.

  14. Environmental Report 2000

    Energy Technology Data Exchange (ETDEWEB)

    Biermann, A H; Althouse, P E; Bertoldo, N A; Blake, R G; Brigdon, S L; Brown, R A; Campbell, C G; Christofferson, E; Clark, L M; Folks, K J; Gallegos, G M; Grayson, A R; Harrach, R J; Larson, J M; MacQueen, D H; Mathews, S; Nisbet, B; Ring Peterson, S; Taffet, M J; Tate, P J; Vellinger, R J; Williams, R A

    2001-09-01

    Lawrence Livermore National Laboratory (LLNL), a U.S. Department of Energy (DOE) facility operated by the University of California (UC), serves as a national resource of scientific, technical, and engineering capabilities. The Laboratory's mission focuses on nuclear weapons and national security, and over the years has been broadened to include areas such as strategic defense, energy, the environment, biomedicine, technology transfer, the economy, and education. The Laboratory carries out this mission in compliance with local, state, and federal environmental regulatory requirements. It does so with the support of the Environmental Protection Department, which is responsible for environmental monitoring and analysis, hazardous waste management, environmental restoration, and assisting Laboratory organizations in ensuring compliance with environmental laws and regulations. LLNL comprises two sites: the Livermore site and Site 300. The Livermore site occupies an area of 3.28 square kilometers on the eastern edge of Livermore, California. Site 300, LLNL's experimental testing site, is located 24 kilometers to the east in the Altamont Hills and occupies an area of 30.3 square kilometers. Meteorological and environmental monitoring activities are conducted at both sites as well as in surrounding areas. This summary provides an overview of LLNL's environmental activities in 2000, including radiological and nonradiological surveillance, effluent and compliance monitoring, remediation, assessment of radiological releases and doses, and determination of the impact of LLNL operations on the environment and public health.

  15. Environmental Report 1999

    Energy Technology Data Exchange (ETDEWEB)

    Larson, J M; Biermann, A H; Harrach, R J; Althouse, P E; Bertoldo, N A; Blake, R G; Brandstetter, E R; Brigdon, S L; Brown, R A; Christofferson, E; Folks, K J; Gallegos, G M; Garcia, L M; Giesing, T A; Grayson, A R; Hall, L C; MacQueen, D H; Mathews, S; Peterson, S R; Taffet, M J; Tate, P J; Vellinger, R J; Ward, R J; Williams, R A

    2000-09-01

    Lawrence Livermore National Laboratory (LLNL), a U.S. Department of Energy (DOE) facility operated by the University of California (UC), serves as a national resource of scientific, technical, and engineering capabilities. The Laboratory's mission focuses on nuclear weapons and national security, and over the years has been broadened to include areas such as strategic defense, energy, the environment, biomedicine, technology transfer, the economy, and education. The Laboratory carries out this mission in compliance with local, state, and federal environmental regulatory requirements. It does so with the support of the Environmental Protection Department, which is responsible for environmental monitoring and analysis, hazardous waste management, environmental restoration, and assisting Laboratory organizations in ensuring compliance with environmental laws and regulations. LLNL comprises two sites: the Livermore site and Site 300. The Livermore site occupies an area of 3.28 square kilometers on the eastern edge of Livermore, California. Site 300, LLNL's experimental testing site, is located 24 kilometers to the east in the Altamont Hills and occupies an area of 30.3 square kilometers. Meteorological and environmental monitoring activities are conducted at both sites as well as in surrounding areas. This summary provides an overview of LLNL's environmental activities in 1999, including radiological and nonradiological surveillance, effluent and compliance monitoring, remediation, assessment of radiological releases and doses, and determination of the impact of LLNL operations on the environment and public health.

  16. Surface Environmental Surveillance Procedures Manual

    Energy Technology Data Exchange (ETDEWEB)

    RW Hanf; TM Poston

    2000-09-20

    Environmental surveillance data are used in assessing the impact of current and past site operations on human health and the environment, demonstrating compliance with applicable local, state, and federal environmental regulations, and verifying the adequacy of containment and effluent controls. SESP sampling schedules are reviewed, revised, and published each calendar year in the Hanford Site Environmental Surveillance Master Sampling Schedule. Environmental samples are collected by SESP staff in accordance with the approved sample collection procedures documented in this manual.

  17. Environmental Report 1996

    Energy Technology Data Exchange (ETDEWEB)

    Harrach, R.J.

    1996-01-01

    This summary provides an overview of LLNL`s environmental activities in 1996, including radiological and nonradiological surveillance, effluent and compliance monitoring, remediation, assessment of radiological releases and doses, and determination of the impact of LLNL operations on the environment and public health.

  18. Environmental Report 1998

    Energy Technology Data Exchange (ETDEWEB)

    Larson, J M; Harrach, R J; Althouse, P E; Bertoldo, N A; Biermann, A H; Blake, R G; Brandstetter, E R; Brigdon, S L; Brown, R A; Christofferson, E; Folkes, K J; Gallegos, G M; Garcia, L M; Giesing, T A; Grayson, A R; Hall, L C; MacQueen, H; Mathews, S; Peterson, S R; Taffet, M J; Tate, P J; Vellinger, R J; Ward, R J

    1999-09-22

    This summary provides an overview of LLNL's environmental activities in 1998, including radiological and nonradiological surveillance, effluent, and compliance monitoring, remediation, assessment of radiological releases and doses, and determination of the impact of LLNL operations on the environment and public health.

  19. Client Compliance with Homework Directives during Counseling.

    Science.gov (United States)

    Worthington, Everett L., Jr.

    1986-01-01

    Investigated compliance as a function of counselor, client, and therapy variables. Results indicated that variables associated with the conduct of counseling more strongly influenced compliance with homework than did either counselor or client variables. (Author/BL)

  20. 24 CFR 108.25 - Compliance meeting.

    Science.gov (United States)

    2010-04-01

    ... COMPLIANCE PROCEDURES FOR AFFIRMATIVE FAIR HOUSING MARKETING § 108.25 Compliance meeting. (a) Scheduling... the goals of the AFHM plan may not be achieved, or that the implementation of the Plan should...

  1. ETHICS AND COMPLIANCE IN BUSINESS

    Directory of Open Access Journals (Sweden)

    ANDREESCU Nicoleta Alina

    2015-05-01

    Full Text Available In this paper, we have studied the evolution of the business ethics concept through the prism of definitions from some renowned authors in the field and through the approach model of the business ethics and by implementing it in the company level. We have found out that in the last 40 years this concept has evolved from a theoretical aspect, as well as a practical one. Companies are motivated to implement ethics and compliance programs in business so that they can manage the changes that come from society. If, until recently, all that mattered for a company was profit, in the last decades, the situation changed. In order to develop a durable business, it is essential to have a good reputation. Owning and implementing an ethics and compliance program in business has become an imperative for companies, regardless of their activity sector. The role of the compliance department becomes more pregnant in each company: the employees need safety, the existence of communication lines provides comfort. From the partners in business’ point of view, owning such a program is a necessity, a condition, and not conforming to the principles of business ethics can lead to the isolation of the company. The ethics and compliance programs in business are instruments that protect the company by implementing certain proactive identification mechanisms that ensure the development of an ethical organizational culture.

  2. Corporate compliance: implications for trustees.

    Science.gov (United States)

    Commins, K

    1998-01-01

    In this era of fraud and abuse enforcement efforts, hospital trustees are facing potential liability in the event that an investigation reveals the hospital has violated state or federal provisions pertaining to fraud and abuse. This liability can be minimized, or avoided, by ensuring that an effective compliance plan is in place prior to such an investigation.

  3. Best Practices and Simultaneous Compliance

    Science.gov (United States)

    This wrap-up presentation to the workshop covers several topics concerning how lead and copper compliance under the Lead and Copper Rule should be integrated into an overall “simultaneous compliance” framework with other organizations. The LCR requires “optimization” of lead leve...

  4. Audit-based compliance control

    NARCIS (Netherlands)

    Cederquist, J.G.; Corin, R.; Dekker, M.A.C.; Etalle, S.; Hartog, J.I. den; Lenzini, G.

    2007-01-01

    In this paper we introduce a new framework for controlling compliance to discretionary access control policies [Cederquist et al. in Proceedings of the International Workshop on Policies for Distributed Systems and Networks (POLICY), 2005; Corin et al. in Proceedings of the IFIP Workshop on Formal A

  5. Project Compliance with Enterprise Architecture

    NARCIS (Netherlands)

    Foorthuis, R.M.

    2012-01-01

    This research project set out to identify effective practices and models for working with projects that are required to comply with Enterprise Architecture (EA), and investigate the benefits and drawbacks brought about by compliance. Research methods used are canonical action research, a statistical

  6. Project Compliance with Enterprise Architecture

    NARCIS (Netherlands)

    Foorthuis, R.M.

    2012-01-01

    This research project set out to identify effective practices and models for working with projects that are required to comply with Enterprise Architecture (EA), and investigate the benefits and drawbacks brought about by compliance. Research methods used are canonical action research, a statistical

  7. Environmental effectiveness of GAEC cross-compliance Standard 1.1a (temporary ditches and 1.2g (permanent grass cover of set-aside in reducing soil erosion and economic evaluation of the competitiveness gap for farmers

    Directory of Open Access Journals (Sweden)

    Paolo Bazzoffi

    2016-02-01

    Full Text Available This paper shows the results of the monitoring carried out in three hilly farms of the MONACO project in order to verify the effectiveness of the Standard 1.1 (commitment a (temporary ditches and Standard 1.2 (commitment g (Vegetation cover throughout the year in set-aside land in the reduction in soil erosion, contained in Rule 1: ‘minimum land management that meets specific conditions’ of the decree Mipaaf 2009 and following modifications, until the recent decree No. 180 of January 23, 2015. In addition, the assessment of the competitiveness gap was done. That is the evaluation of the additional costs borne by the beneficiary of the single payment determined from agronomic commitments. Monitoring has also compared the erosion actually observed in the field with that predicted by RUSLE model (Revised Universal Soil Loss Equation (Renard et al., 1997 in the two situations: with and without the presence of temporary ditches, i.e. assuming Factual (compliance rules and in that Counterfactual (infringement. This comparison was made in view of the fact that the RUSLE model was chosen by the 'European Evaluation Network for Rural Development (EEN, 2013 as a forecasting tool for the quantification of' Common Indicator ‘soil erosion by water’. The results of soil erosion survey carried out by using a new  UAV-GIS methodology  on two monitoring farms in two years of observations have shown that temporary ditches were effective in decreasing erosion, on average, by 42.5%, from 36. 59 t ha-1 to 21.05 t ha-1 during the monitoring period. It was also evaluated the effectiveness of grass strips (at variance with the commitment of temporary ditches. The results showed a strong, highly significant, reduction in erosion by about 35% times respect soil erosion observed in bare soil and also a significant reduction in the volume of runoff water.  With regard to Standard 1.2 (commitment g the statistical analysis shows a strong and highly significant

  8. Developing a nursing corporate compliance program.

    Science.gov (United States)

    Bartis, Janice A; Sullivan, Trent

    2002-09-01

    This article presents the process that a large urban tertiary care hospital engaged in when developing a corporate compliance program for nursing. The purpose of this article is to demonstrate how nurse executives can successfully implement a comprehensive and practical nursing corporate compliance program. This article describes in detail the 5 steps the hospital took to develop its nursing corporate compliance program and provides examples of tools to guide you in developing a nursing corporate compliance program.

  9. Environmental Report 1995. Volume 1

    Energy Technology Data Exchange (ETDEWEB)

    Harrach, R.J.; Failor, R.A.; Gallegos, G.M. [and others

    1996-09-01

    This report contains the results of Lawrence Livermore National Laboratory`s (LLNL) environmental monitoring and compliance effort and an assessment of the impact of LLNL operations on the environment and the public. This first volume describes LLNL`s environmental impact and compliance activities and features descriptive and explanatory text, summary data tables, and plots showing data trends. The summary data include measures of the center of data, their spread or variability, and their extreme values. Chapters on monitoring air, sewage, surface water, ground water, soil and sediment, vegetation and foodstuff, and environmental radiation are present.

  10. Corporate compliance: framework and implementation.

    Science.gov (United States)

    Fowler, N

    1999-01-01

    The federal government has created numerous programs to combat fraud and abuse. The government now encourages healthcare facilities to have a corporate compliance program (CCP), a plan that reduces the chances that the facility will violate laws or regulations. A CCP is an organization-wide program comprised of a code of conduct and written policies, internal monitoring and auditing standards, employee training, feedback mechanisms and other features, all designed to prevent and detect violations of governmental laws, regulations and policies. It is a system or method ensuring that employees understand and will comply with laws that apply to what they do every day. Seven factors, based on federal sentencing guidelines, provide the framework for developing a CCP. First, a facility must establish rules that are reasonably capable of reducing criminal conduct. Second, high-level personnel must oversee the compliance effort. Third, a facility must use due care in delegating authority in the compliance initiative. Fourth, standards must be communicated effectively to employees, and fifth, a facility must take reasonable steps to achieve compliance. Sixth, standards must be enforced consistently across the organization and last, standards must be modified or changed for reported concerns, to ensure they are not repeated. PROMINA Health System, Inc. in Atlanta, Ga., designed a program to meet federal guidelines. It started with a self-assessment to define its areas or risk. Next, it created the internal structure and assigned organizational responsibility for running the CCP. PROMINA then developed standards of business and professional conduct, established vehicles of communication and trained employees on the standards. Finally, it continues to develop evidence of the program's effectiveness by monitoring and documenting its compliance activities.

  11. 42 CFR 3.308 - Compliance reviews.

    Science.gov (United States)

    2010-10-01

    ... 42 Public Health 1 2010-10-01 2010-10-01 false Compliance reviews. 3.308 Section 3.308 Public... ORGANIZATIONS AND PATIENT SAFETY WORK PRODUCT Enforcement Program § 3.308 Compliance reviews. The Secretary may conduct compliance reviews to determine whether a respondent is complying with the applicable...

  12. 14 CFR 1252.400 - Compliance reviews.

    Science.gov (United States)

    2010-01-01

    ... 14 Aeronautics and Space 5 2010-01-01 2010-01-01 false Compliance reviews. 1252.400 Section 1252..., and Enforcement Procedures § 1252.400 Compliance reviews. (a) NASA may conduct compliance reviews and pre-award reviews of recipients or use other similar procedures that will permit it to investigate and...

  13. Monitoring Compliance with Open Access policies

    OpenAIRE

    Picarra, Mafalda

    2015-01-01

    In parallel to implementing Open Access policies, institutions and research funders are also engaged in developing mechanisms to monitor compliance with the existing policies. This study highlights why policy compliance must be monitored and how it can be done. A series of case studies illustrate where compliance is being effectively monitored.

  14. Tax compliance depends on voice of taxpayers

    NARCIS (Netherlands)

    Casal, Sandro; Kogler, C.; Mittone, Luigi; Kirchler, Erich

    2016-01-01

    Reducing the social distance between taxpayers and tax authorities boosts taxpayers' acceptance of tax load and tax compliance. In the present experiment participants had the opportunity to pay their tax due either as one single compliance decision or as separate compliance decisions for each type o

  15. 38 CFR 18.6 - Compliance information.

    Science.gov (United States)

    2010-07-01

    ... 38 Pensions, Bonuses, and Veterans' Relief 2 2010-07-01 2010-07-01 false Compliance information... THE CIVIL RIGHTS ACT OF 1964 General § 18.6 Compliance information. (a) Cooperation and assistance... compliance reports at such times, and in such form and containing such information, as the responsible...

  16. 22 CFR 209.6 - Compliance information.

    Science.gov (United States)

    2010-04-01

    ... 22 Foreign Relations 1 2010-04-01 2010-04-01 false Compliance information. 209.6 Section 209.6... § 209.6 Compliance information. (a) Cooperation and assistance. The Administrator shall to the fullest... and accurate compliance reports at such times, and in such form and containing such information,...

  17. Tax compliance depends on voice of taxpayers

    NARCIS (Netherlands)

    Casal, Sandro; Kogler, C.; Mittone, Luigi; Kirchler, Erich

    2016-01-01

    Reducing the social distance between taxpayers and tax authorities boosts taxpayers' acceptance of tax load and tax compliance. In the present experiment participants had the opportunity to pay their tax due either as one single compliance decision or as separate compliance decisions for each type o

  18. 40 CFR 425.05 - Compliance dates.

    Science.gov (United States)

    2010-07-01

    ... 40 Protection of Environment 29 2010-07-01 2010-07-01 false Compliance dates. 425.05 Section 425... STANDARDS LEATHER TANNING AND FINISHING POINT SOURCE CATEGORY General Provisions § 425.05 Compliance dates. The compliance date for new source performance standards (NSPS) and pretreatment standards for...

  19. Site Environmental Report, 1993

    Energy Technology Data Exchange (ETDEWEB)

    1994-06-01

    The Site Environmental Report (SER) is prepared annually in accordance with DOE Order 5400.1, ``General Environmental Protection Program.`` This 1993 SER provides the general public as well as scientists and engineers with the results from the site`s ongoing Environmental Monitoring Program. Also included in this report is information concerning the site`s progress toward achieving full compliance with requirements set forth by DOE, US Environmental Protection Agency (USEPA), and Ohio EPA (OEPA). For some readers, the highlights provided in the Executive Summary may provide sufficient information. Many readers, however, may wish to read more detailed descriptions of the information than those which are presented here.

  20. 2004 Environmental Report

    Energy Technology Data Exchange (ETDEWEB)

    Althouse, P E; Bertoldo, N A; Brown, R A; Campbell, C B; Clark, L M; Gallegos, G M; Grayson, A R; Harrach, R J; Jones, H E; MacQueen, D H; Mathews, S; Nisbet, B A; Noyes, C D; Paterson, L; Peterson, S R; Revelli, M A; Rueppel, D; Sanchez, L; Taffet, M J; Tate, P J; Wilson, K

    2005-09-28

    The Lawrence Livermore National Laboratory (LLNL) annual Environmental Report, prepared for the Department of Energy (DOE) and made available to the public, presents summary environmental data that characterizes site environmental management performance, summarizes environmental occurrences and responses reported during the calendar year, confirms compliance with environmental standards and requirements, and highlights significant programs and efforts. By explaining the results of effluent and environmental monitoring, mentioning environmental performance indicators and performance measure programs, and assessing the impact of Laboratory operations on the environment and the public, the report also demonstrates LLNL's continuing commitment to minimize any potentially adverse impact of its operations. The combination of environmental and effluent monitoring, source characterization, and dose assessment showed that radiological doses to the public caused by LLNL operations in 2004 were less than 0.26% of regulatory standards and more than 11,000 times smaller than dose from natural background. Analytical results and evaluations generally showed continuing low levels of most contaminants; remediation efforts further reduced the concentrations of contaminants of concern in groundwater and soil vapor. In addition, LLNL's extensive environmental compliance activities related to water, air, endangered species, waste, wastewater, and waste reduction controlled or reduced LLNL's effects on the environment. LLNL's environmental program clearly demonstrates a commitment to protecting the environment from operational impacts.

  1. Instrumentation and Controls Division biennial progress report, September 1, 1976--September 1, 1978

    Energy Technology Data Exchange (ETDEWEB)

    Sadowski, G.S. (ed.)

    1978-11-01

    Progress is summarized in the following research and development areas: electronic circuits;instruments; radiation monitoring; process systems and instrumentation; thermometry; instrumentation for engineering experiments and test loops; HTGR fuel recycle development; reactor measurements and analysis; automatic control and data acquisition; electronic engineering support for research facilities; miscellaneous engineering services, studies, and developments; maintenance; and environmental science studies.

  2. Proceedings of the third biennial conference and workshop on wind energy conversion systems. Volume I

    Energy Technology Data Exchange (ETDEWEB)

    Kornreich, T R [ed.

    1978-05-01

    Separate abstracts are included for 38 papers presented concerning large scale wind systems, small scale wind systems, regional and economic analysis, wind characteristics research, environmental and institutional considerations, and international activities. Four papers were previously input into the energy data base.

  3. Environmental effectiveness of GAEC cross-compliance Standard 4.2 on biodiversity in set-aside management and economic evaluation of the competitiveness gap for farmers, part I

    Directory of Open Access Journals (Sweden)

    Stefano Mocali

    2016-03-01

    Full Text Available In 2005, the CAP reform introduced the principle of conditionality that enables the access to single payments for farmers only ‘on condition’ that a series of commitments, such as the Statutory Management Requirements (SMR and Good Agricultural and Environmental Conditions (GAEC, are respected. In particular, the GAEC Standard 4.2 aims to ensure the proper management of the set-aside fields through specific agronomic practices consisting in mowing or equivalent operations in order to conserve and protect biodiversity. This is considered one of the main environmental challenges of the new CAP. In the present work, we report the results of a monitoring activity aimed at evaluating the effectiveness of the Standard 4.2 on soil biodiversity. Monitoring involved both, soil microorganisms and soil arthropod fauna, representing the so-called ‘invisible biodiversity’, a key element for soil fertility and sustainability, as well as the ground-dwelling arthropods. Two different managements of set-aside, with and without mowing, were compared in three different areas in Italy: Caorle (VE, Fagna (FI, and Metaponto (MT. The results showed a slight but significant increase in biodiversity in the plots where mowing was applied.

  4. 76 FR 9981 - National Environmental Policy Act Implementing Procedures

    Science.gov (United States)

    2011-02-23

    ... Part 1021 RIN 1990-AA34 National Environmental Policy Act Implementing Procedures AGENCY: Office of the... amendments to its regulations governing compliance with the National Environmental Policy Act (NEPA), made... Rulemaking Comments, Office of NEPA Policy and Compliance (GC-54), U.S. Department of Energy,...

  5. National biennial RCRA hazardous waste report (based on 1993 data): List of treatment, storage, and disposal facilities in the United States

    Energy Technology Data Exchange (ETDEWEB)

    NONE

    1995-08-01

    This document contains a list of treatment, storage, and disposal facilities, as identified by EPA`s Biennial Report. The Biennial Report is a census of hazardous waste generators and managers that are regulated by the Resource Conservation and Recovery Act of 1976 (RCRA), as amended. Section 3004 of the Act provides authority for the EPA administrator to promulgate standards that shall include, but need not be limited to, requirements respecting the maintenance of records of all hazardous wastes treated, stored, or disposed of. There are 2,584 treatment, storage, and disposal facilities on this list. The facilities are arranged by state. Information includes EPA identification number, facility name, location city, and RCRA tons managed.

  6. Proceedings of the 3rd Biennial Conference of the Society for Implementation Research Collaboration (SIRC) 2015: advancing efficient methodologies through community partnerships and team science

    OpenAIRE

    Kerns, Suzanne; Puspitasari, Ajeng; Hendricks, Karin; Pierson, Andria; Fizur, Phil; Comtois, Katherine A.; Green, Amy E; Trott, Elise M.; Willging, Cathleen E.; Fernandez, Maria E.; Woolf, Nicholas H.; Liang, Shuting Lily; Heredia, Natalia I.; Kegler, Michelle; Risendal, Betsy

    2016-01-01

    Table of contents Introduction to the 3rd Biennial Conference of the Society for Implementation Research Collaboration: advancing efficient methodologies through team science and community partnerships Cara Lewis, Doyanne Darnell, Suzanne Kerns, Maria Monroe-DeVita, Sara J. Landes, Aaron R. Lyon, Cameo Stanick, Shannon Dorsey, Jill Locke, Brigid Marriott, Ajeng Puspitasari, Caitlin Dorsey, Karin Hendricks, Andria Pierson, Phil Fizur, Katherine A. Comtois A1: A behavioral economic perspective ...

  7. Proceedings of the 3rd Biennial Conference of the Society for Implementation Research Collaboration (SIRC) 2015: advancing efficient methodologies through community partnerships and team science

    OpenAIRE

    Kerns, Suzanne; Puspitasari, Ajeng; Hendricks, Karin; Pierson, Andria; Fizur, Phil; Comtois, Katherine A.; Green, Amy E.; Trott, Elise M.; Willging, Cathleen E.; Fernandez, Maria E.; Woolf, Nicholas H.; Liang, Shuting Lily; Heredia, Natalia I.; Kegler, Michelle; Risendal, Betsy

    2016-01-01

    Table of contents Introduction to the 3rd Biennial Conference of the Society for Implementation Research Collaboration: advancing efficient methodologies through team science and community partnerships Cara Lewis, Doyanne Darnell, Suzanne Kerns, Maria Monroe-DeVita, Sara J. Landes, Aaron R. Lyon, Cameo Stanick, Shannon Dorsey, Jill Locke, Brigid Marriott, Ajeng Puspitasari, Caitlin Dorsey, Karin Hendricks, Andria Pierson, Phil Fizur, Katherine A. Comtois A1: A behavioral economic perspective ...

  8. Savannah River Site environmental report for 1991

    Energy Technology Data Exchange (ETDEWEB)

    Arnett, M.W.; Karapatakis, L.K.; Mamatey, A.R.; Todd, J.L.

    1991-01-01

    This report describes environmental activities conducted on and in the vicinity of the Savannah River Site (SRS) in Aiken, S.C., from Jan. 1 to Dec. 31, 1991, with an update on compliance activities through April 1, 1992. The report is a single volume with a separate summary pamphlet highlighting the major findings for 1991. The report is divided into an executive summary and 14 chapters containing information on environmental compliance issues, environmental monitoring methods and programs, and environmental research activities for 1991, as well as historical data from previous years. Analytical results, figures, charts, and data tables relevant to the environmental monitoring program for 1991 at SRS are included.

  9. Environmental report 1993

    Energy Technology Data Exchange (ETDEWEB)

    Wilt, G.C. [ed.; Gallegos, G.M.; Tate, P.J.; Balke, B.K. [and others

    1994-09-01

    Lawrence Livermore National Laboratory (LLNL), a US Department of Energy (DOE) facility operated by the University of California, serves as a national resource of scientific, technical, and engineering capability with a special focus on national security. Over the years, the Laboratory`s mission has been broadened to encompass such areas as strategic defense, energy, the environment, biomedicine, the economy, and education. The Laboratory carries out this mission in compliance with local, state, and federal environmental regulatory requirements and takes measures to ensure that its operations do not adversely affect the environment or public health. It does so with the support of the Environmental Protection Department, which is responsible for environmental monitoring, environmental restoration, hazardous waste management, and ensuring environmental compliance. During 1993, the Environmental Protection Department conducted sampling of air, sewage effluent, ground water, surface water, soil, vegetation and foodstuffs, and took measurements of environmental radiation. It performed more than 190,000 analyses of environmental samples. The analytical results are summarized along with evaluations of the impact of radioactive and nonradioactive materials, a discussion of the effects of LLNL operations on the environment, and a summary of the activities undertaken to comply with local, state, and federal environmental laws.

  10. Obesity and arterial compliance alterations.

    Science.gov (United States)

    Seifalian, Alexander M; Filippatos, Theodosios D; Joshi, Jatin; Mikhailidis, Dimitri P

    2010-03-01

    Obesity is associated with increased cardiovascular disease (CVD) risk, especially when excess body fat is distributed preferentially within the abdominal region. Obese subjects usually have increased arterial stiffness compared with non-obese subjects of similar age. The factors associated with increased arterial stiffness in obesity include endothelial dysfunction (decreased nitric oxide bioavailability), impaired smooth muscle cell function, insulin resistance, as well as elevated cholesterol and C-peptide levels. Furthermore, visceral fat, the adipose tissue-related renin-angiotensin-aldosterone system and hyperleptinaemia contribute to the obesity-associated impaired arterial compliance. Weight loss improves CVD risk factors and arterial compliance. Because increased arterial stiffness is a marker of CVD risk these findings support the concept that the presence of obesity has vascular implications.

  11. Hanford Site environmental report for calendar year 1990

    Energy Technology Data Exchange (ETDEWEB)

    Woodruff, R.K.; Hanf, R.W.; Hefty, M.G.; Lundgren, R.E. (eds.)

    1991-12-20

    The Hanford Site Environmental Report is prepared annually to summarize environmental data and information, describe environmental management performance, and demonstrate the status of compliance with environmental regulations. The report also highlights major environmental programs and efforts. The following sections: describe the Hanford Site and its new mission; summarize the status in 1990 of compliance with environmental regulations; describe the environmental programs at the Hanford Site; present information on environmental surveillance and the ground-water protection and monitoring program; and discuss activities to ensure quality.

  12. 1994 site environmental report, Tonopah Test Range, Tonopah, Nevada

    Energy Technology Data Exchange (ETDEWEB)

    Culp, T. [Sandia National Labs., Albuquerque, NM (United States); Forston, W. [Kirk-Mayer, Inc., Albuquerque, NM (United States)

    1995-09-01

    This report summarizes the environmental surveillance activities conducted by Sandia National Laboratories, the US Environmental Protection Agency, and Kirk-Mayer, Inc., for the Tonopah Test Range operated by Sandia National Laboratories. Sandia National Laboratories` responsibility for environmental surveillance results extends to those activities performed by Sandia National Laboratories or under its direction. Results from other environmental surveillance activities are included to provide a measure of completeness in reporting. Other environmental compliance programs such as the National Environmental Policy Act of 1969, environmental permits, and environmental restoration and waste management programs are also included in this report, prepared for the US Department of Energy (DOE) in compliance with DOE Order 5400. 1.

  13. Hanford Site environmental report for calendar year 1990

    Energy Technology Data Exchange (ETDEWEB)

    Woodruff, R.K.; Hanf, R.W.; Hefty, M.G.; Lundgren, R.E. [eds.

    1991-12-20

    The Hanford Site Environmental Report is prepared annually to summarize environmental data and information, describe environmental management performance, and demonstrate the status of compliance with environmental regulations. The report also highlights major environmental programs and efforts. The following sections: describe the Hanford Site and its new mission; summarize the status in 1990 of compliance with environmental regulations; describe the environmental programs at the Hanford Site; present information on environmental surveillance and the ground-water protection and monitoring program; and discuss activities to ensure quality.

  14. 1995 Site environmental report Sandia National Laboratories, Albuquerque, New Mexico

    Energy Technology Data Exchange (ETDEWEB)

    Shyr, L.J.; Duncan, D. [eds.; Sanchez, R.

    1996-09-01

    This 1995 report contains data from routine radiological and non-radiological environmental monitoring activities. Summaries of significant environmental compliance programs in progress, such as National Environmental Policy Act documentation, environmental permits, environmental restoration and various waste management programs at Sandia National Laboratories in Albuquerque, New Mexico, are included.

  15. DOE Hydropower Program biennial report 1990--1991 (with updated annotated bibliography)

    Energy Technology Data Exchange (ETDEWEB)

    Chappell, J.R.; Rinehart, B.N.; Sommers, G.L. (Idaho National Engineering Lab., Idaho Falls, ID (United States)); Sale, M.J. (Oak Ridge National Lab., TN (United States))

    1991-07-01

    This report summarizes the activities of the US Department of Energy's (DOE) Hydropower Program for fiscal years 1990 and 1991, and provides an annotated bibliography of research, engineering, operations, regulations, and costs of projects pertinent to hydropower development. The Hydropower Program is organized as follows: background (including Technology Development and Engineering Research and Development); Resource Assessment; National Energy Strategy; Technology Transfer; Environmental Research; and, the bibliography discusses reports written by both private and non-Federal Government sectors. Most reports are available from the National Technical Information Service. 5 figs., 2 tabs.

  16. Simulation of the equatorial quasi-biennial oscillation based on the parameterization of continuously spectral gravity waves

    Institute of Scientific and Technical Information of China (English)

    HUANG KaiMing; ZHANG ShaoDong; YI Fan; CHEN ZeYu

    2009-01-01

    On the basis of previous parameterization schemes, considering both the wave breaking and absorbed at critical level, a parameterization with a continuous spectrum of gravity waves is realized by intro-ducing a momentum flux density function for the wave spectrum, and then the parameterization scheme of the gravity waves is improved. Choosing parameter values of the background atmosphere and waves based on the observations, a more realistic equatorial quasi-biennial oscillation (QBO)driven by the incorporated drag from the planetary and gravity waves can be simulated. The numerical results indicate that the forcing magnitude of the planetary and gravity waves varies with the wind field,and in some phases of the QBO, the contribution of the gravity waves is comparable with that of the planetary waves. After the QBO is steadily formed, its amplitude and period and wind configuration are relevant to the effect of vertical diffusion and the momentum flux distribution with spectrum, however,independent of the initial background wind field. Moreover, for any given nonzero initial background wind, a steady QBO can be finally generated due to the incorporated drag from the planetary and grav-ity waves.

  17. Conference program and abstracts. International Biogeography Society 6th Biennial Meeting – 9-13 January 2013, Miami, Florida, USA

    Directory of Open Access Journals (Sweden)

    Joaquín Hortal

    2012-12-01

    Full Text Available Proceedings of the Sixth biennial conference of the International Biogeography Society, an international and interdisciplinary society contributing to the advancement of all studies of the geography of nature. Held at Miami, Florida, USA, 9 – 13 January 2013.Abstracts include:(i the Opening, MacArthur & Wilson Award and Alfred Russel Award Plenary Lectures;(ii four symposia entitled "Island Biogeography: New Syntheses", "Beyond Bergmann: New perspectives on the biogeography of traits", "The Convergence of Conservation Paleontology and Biogeography" and "Predicting species and biodiversity in a warmer world: are we doing a good job?";(iii oral presentations from contributed papers on Phylogeography, Marine Biogeography, Biogeography of the Anthropocene, Hot Topics in biogeography, Island Biogeography, Neotropical Biogeography, Global Change Biogeography, Historical and Paleo-biogeography, Conservation Biogeography and Global-Scale Biogeography; and(iv contributions presented as posters on Phylogeography, Geospatial techniques and land cover, Biodiversity gradients and macroecology, Biogeography of traits, Island Biogeography, Neotropical Biogeography, Conservation Biogeography, Disturbance and Disease Biogeography, Climate Change Biogeography and Historical and Paleo-Biogeography.

  18. Patterns of Apoptosis and Proliferation throughout the Biennial Reproductive Cycle of Viviparous Female Typhlonectes compressicauda (Amphibia, Gymnophiona

    Directory of Open Access Journals (Sweden)

    Michel Raquet

    2016-12-01

    Full Text Available Typhlonectes compressicauda is an aquatic gymnophionan amphibian living in South America. Its breeding cycle is linked to seasons, characterized by a regular alternation of rainy and dry seasons. During a complex biennial cycle, the female genital tract undergoes a series of alternations of increasing and decreasing, governed by equilibrium of proliferation and apoptotic phenomena. Immunohistochemical methods were used to visualize cell proliferation with the detection of Ki67 antibody, a protein present in proliferative cells; terminal deoxynucleotidyl transferase dUTP nick end labeling (TUNEL and Apostain were performed to detect apoptotic cells on sections of ovaries and oviducts. In ovaries, both phenomena affect the germinal nests and follicles according to the cycle period. In the oviduct, the balance was in favor of proliferation during preparation for reproduction, and in favor of apoptosis when genital ducts regress. Apoptosis and proliferation are narrowly implicated in the remodeling of the genital tract and they are accompanied by the differentiation of tissues according to the phase of the breeding cycle. These variations permit the capture of oocytes at ovulation, always at the same period, and the parturition after 6–7 months of gestation, at a period in which the newborns live with their mother, protected in burrows in the mud. During the intervening year of sexual inactivity, the female reconstitutes body reserves.

  19. Information, Interests, and Environmental Regulation

    DEFF Research Database (Denmark)

    Winter, Søren; May, Peter J.

    2002-01-01

    This study contributes to the understanding of informational approaches to bringing about compliance with environmental regulations with particular attention to differences in the influence of information provided by different information sources. Based on theorizing from a combination of informa......This study contributes to the understanding of informational approaches to bringing about compliance with environmental regulations with particular attention to differences in the influence of information provided by different information sources. Based on theorizing from a combination...... of information processing and interest group literatures, we develop hypotheses about regulatees' reliance upon and the influence of different sources of information. We test these hypotheses for Danish farmers’ compliance with agro-environmental rules. Our findings show that information plays a role in bringing...

  20. Savannah River Site Environmental Report for 1999

    Energy Technology Data Exchange (ETDEWEB)

    Arnett, M.

    2000-06-30

    The purpose of this report is to present summary environmental data that characterize site environmental management performance, confirm compliance with environmental standards and requirements, highlight significant programs and efforts, and assess the impact of SRS operations on the public and the environment.

  1. Compliance management and corporate governance; Compliance Management und Corporate Governance

    Energy Technology Data Exchange (ETDEWEB)

    Becker, Uwe [Stadt Frankfurt am Main (Germany); Alsheimer, Constantin; Kassebohm, Kristian; Reutler, Susanne [Mainova AG, Frankfurt (Germany)

    2009-08-15

    Starting in the year 2009, numerous changes in the financial system and accountancy a well as in the corporate law come into effect for enterprises. Thereby, the requirements substantially are intensified to their corporate governance. The actual well-known reproaches of bribery, corruption and injuries of data protection intensify the pressure on executive committees and supervisory boards in order to meet normative and ethical requirements. All the more is valid for power suppliers whose reputation can already carry damage out with the first suspicion. Already in 2008, Mainova AG (Frnkfurt/Main, Federal Republic of Germany) implemented a compliance management.

  2. Lawrence Berkeley Laboratory 1993 Site Environmental Report

    Energy Technology Data Exchange (ETDEWEB)

    1994-05-01

    This annual Site Environmental Report summarizes Lawrence Berkeley Laboratory`s (LBL`s) environmental activities in calendar year (CY) 1993. The purpose of this report is to characterize site environmental management performance, confirm compliance status with environmental standards and requirements, and highlight significant programs and efforts. Its format and content are consistent with the requirements of the US Department of Energy (DOE) Order 5400.1, General Environmental Protection Program.

  3. [Resistance and compliance to contraception in adolescents].

    Science.gov (United States)

    Pichot, F; Dayan-lintzer, M

    1985-10-01

    demonstrate a desire for self-affirmation, a search for identity, and a reliving of the mother's own childhood. Very young girls especially may be reluctant to discuss contraception for fear of displeasing their partners or losing their love. Fear of gynecological examinations, distrust of both the side effects of pills and the efficacy of all other contraceptive methods, and rebellion against the adult world are additional reasons for nonuse of contraception. Fears on the part of the mother or resentment of the daughter's maturity and sexuality or other feelings may impede communication and hence acquisition and use of contraception. Resistence by adults in general to expressions of sexuality among adolescents may prevent physicians from prescribing pills and educators from providing information on sex and contraception. Compliance with contraception appears to be a multidimensional phenomenon with 3 principal domaines: individual characteristics, the environment, and the availability of contraception. Unfavorable social situations and young age at initiation of sexual activity are unfavorable to compliance, while a well-defined identity, autonomy, and sense of responsability are favorable. The most important environmental factor is a supportive family, while the type of method appears to be less significant. Careful and sympathetic reception of the adolescent and good follow-up by the health worker can boost compliance.

  4. Internal compliance investigations can reduce government sanctions.

    Science.gov (United States)

    Mustokoff, M M; Yecies, M S

    1997-10-01

    An effective corporate compliance program is facilitated by three essential elements: a well-qualified compliance officer; a policy of immediate investigation of every report of potential fraud and abuse; and clearly defined roles for both corporate and outside counsel in conducting the investigations. A government agency is less likely to exercise the full extent of its powers when these elements are in place and three is evidence of a sincere compliance effort.

  5. Active Compliance And Damping In Telemanipulator Control

    Science.gov (United States)

    Kim, Won S.; Bejczy, Antal K.; Hannaford, Blake

    1991-01-01

    Experimental telemanipulator system of force-reflecting-hand-controller type provides for active compliance and damping in remote, robotic manipulator hand. Distributed-computing and -control system for research in various combinations of force-reflecting and active-compliance control regimes. Shared compliance control implemented by low-pass-filtered force/torque feedback. Variable simulated springs and shock absorbers soften collisions and increase dexterity.

  6. Monitoring managers through corporate compliance programs

    OpenAIRE

    Angelucci, C.; Han, M.A.

    2010-01-01

    Compliance programs entail monitoring of employees' behavior with the claimed objective of fighting corporate crime. (Competition) Authorities promote such intra-firm monitoring. In a three-tier hierarchy model, authority-shareholder-manager, we study the impact of monitoring through a compliance program on contracting within the firm and the authority's optimal sanctions and leniency policy. We find that compliance programs are beneficial in the fight against corporate crime if and only if t...

  7. Environmental Performance Report 2016

    Energy Technology Data Exchange (ETDEWEB)

    Braus, Genevieve [National Renewable Energy Laboratory (NREL), Golden, CO (United States)

    2017-09-06

    The National Renewable Energy Laboratory's (NREL's) Environmental Performance Report provides a description of the laboratory's environmental management activities for 2016, including information on environmental and sustainability performance, environmental compliance activities and status, and environmental protection programs, highlights, and successes. The purpose of this report is to ensure that U.S. Department of Energy (DOE) and the public receive timely, accurate information about events that have affected or could adversely affect the health, safety, and security of the public or workers; the environment; or the operations of DOE facilities. This report meets the requirements of the Annual Site Environmental Report and is prepared in accordance with the DOE Order 231.1B, Environment, Safety and Health Reporting.

  8. Environmental Performance Report 2015

    Energy Technology Data Exchange (ETDEWEB)

    2016-07-01

    The National Renewable Energy Laboratory's (NREL's) Environmental Performance Report provides a description of the laboratory's environmental management activities for 2015, including information on environmental and sustainability performance, environmental compliance activities and status, and environmental protection programs, highlights, and successes. The purpose of this report is to ensure that U.S. Department of Energy (DOE) and the public receive timely, accurate information about events that have affected or could adversely affect the health, safety, and security of the public or workers; the environment; or the operations of DOE facilities. This report meets the requirements of the Annual Site Environmental Report and is prepared in accordance with the DOE Order 231.1B, Environment, Safety and Health Reporting.

  9. Hanford Site environmental report for calendar year 1991

    Energy Technology Data Exchange (ETDEWEB)

    Woodruff, R.K.; Hanf, R.W.; Lundgren, R.E. [eds.

    1992-06-01

    This report of the Hanford Reservation is prepared annually to summarize environmental data and information, describe environmental management performance, and demonstrate the status of compliance with environmental regulations. The report also highlights major environmental programs and efforts. The following sections: describe the Hanford Site and its mission; summarize the status in 1991 of compliance with environmental regulations; describe the environmental programs at the Hanford Site; present information on environmental surveillance and the ground-water protection and monitoring program; and discuss activities to ensure quality.

  10. Hanford Site environmental report for calendar year 1991

    Energy Technology Data Exchange (ETDEWEB)

    Woodruff, R.K.; Hanf, R.W.; Lundgren, R.E. (eds.)

    1992-06-01

    This report of the Hanford Reservation is prepared annually to summarize environmental data and information, describe environmental management performance, and demonstrate the status of compliance with environmental regulations. The report also highlights major environmental programs and efforts. The following sections: describe the Hanford Site and its mission; summarize the status in 1991 of compliance with environmental regulations; describe the environmental programs at the Hanford Site; present information on environmental surveillance and the ground-water protection and monitoring program; and discuss activities to ensure quality.

  11. Hanford Site environmental report for calendar year 1995

    Energy Technology Data Exchange (ETDEWEB)

    Dirkes, R.L.; Hanf, R.W. [eds.] [Pacific Northwest National Lab., Richland, WA (United States)

    1996-06-01

    The Hanford Site Environmental Report is prepared annually to summarize environmental data and information, describe environmental management performance, and demonstrate the status of compliance with environmental regulations. It also highlights environmental programs and efforts. It is written to meet reporting requirements and guidelines of DOE and to meet the needs of the public. Individual sections are designed to describe the Hanford Site and its mission, summarize the status in 1995 of compliance, describe the environmental programs, discuss estimated radionuclide exposure to the public from 1995 Hanford activities, present information on effluent monitoring and environmental surveillance (including ground- water protection and monitoring), and discuss activities to ensure quality.

  12. Federal government expands compliance initiatives.

    Science.gov (United States)

    Dugan, J K

    1997-09-01

    In 1995, the Federal government initiated Operation Restore Trust to increase enforcement of fraud and abuse regulations in Medicare and Medicaid programs. With the success of the original initiative, the government is expanding the project to additional states and program areas. The initial scrutiny of home health agencies, nursing homes, hospice care, and durable medical equipment is being expanded to managed care plans and acute care hospitals with an eye toward DRG creep. To manage this increased enforcement activity, healthcare organizations should institute comprehensive corporate compliance programs. Such programs should provide a framework that delineates responsibilities and provides a systematic means to resolve issues in a timely manner.

  13. Strategies for Addressing Spreadsheet Compliance Challenges

    CERN Document Server

    Weber, Brandon

    2006-01-01

    Most organizations today use spreadsheets in some form or another to support critical business processes. However the financial resources, and developmental rigor dedicated to them are often minor in comparison to other enterprise technology. The increasing focus on achieving regulatory and other forms of compliance over key technology assets has made it clear that organizations must regard spreadsheets as an enterprise resource and account for them when developing an overall compliance strategy. This paper provides the reader with a set of practical strategies for addressing spreadsheet compliance from an organizational perspective. It then presents capabilities offered in the 2007 Microsoft Office System which can be used to help customers address compliance challenges.

  14. Compliance with Corporate Governance Principles: Australian Evidence

    National Research Council Canada - National Science Library

    Maryam Safari; Soheila Mirshekary; Victoria Wise

    2015-01-01

      This study investigates the association between the level of compliance of Australian listed companies with Australian corporate governance principles, in aggregate, and the level of discretionary...

  15. Theory of Regulatory Compliance for Requirements Engineering

    CERN Document Server

    Jureta, Ivan; Mylopoulos, John; Perini, Anna; Susi, Angelo

    2010-01-01

    Regulatory compliance is increasingly being addressed in the practice of requirements engineering as a main stream concern. This paper points out a gap in the theoretical foundations of regulatory compliance, and presents a theory that states (i) what it means for requirements to be compliant, (ii) the compliance problem, i.e., the problem that the engineer should resolve in order to verify whether requirements are compliant, and (iii) testable hypotheses (predictions) about how compliance of requirements is verified. The theory is instantiated by presenting a requirements engineering framework that implements its principles, and is exemplified on a real-world case study.

  16. Environmental surveillance at Los Alamos during 2007

    Energy Technology Data Exchange (ETDEWEB)

    Lynch, Michelle; Brady, Doug

    2008-07-01

    Each year, LANL produces an Environmental Surveillance Report (ESR) in compliance with a Department of Energy (DOE) order. The ESR aims to summarize the environmental impacts of the Laboratory, the efforts to minimize these impacts, and LANL’s compliance with environmental regulations. This Summary Report presents the methods and results of environmental monitoring done in 2007 in a form that is more understandable and inviting to the public. Though other DOE sites have done Summary Reports in the past, this is LANL’s first for the ESR, and the authors were privileged to write this report from the perspective of students.

  17. Fernald Preserve 2015 Site Environmental Report

    Energy Technology Data Exchange (ETDEWEB)

    Voisard, Karen [Navarro Research and Engineering, Oak Ridge, TN (United States); Smiley, Sue [U.S. Department of Energy Office of Legacy Management, Washington, DC (United States)

    2016-05-01

    The Fernald Preserve 2015 Site Environmental Report provides stakeholders with the results from the Fernald, Ohio, Site’s environmental monitoring programs for 2015; a summary of the U.S. Department of Energy’s (DOE’s) activities conducted onsite; and a summary of the Fernald Preserve’s compliance with the various environmental regulations, compliance agreements, and DOE policies that govern site activities. This report has been prepared in accordance with the “Integrated Environmental Monitoring Plan,” which is Attachment D of the Comprehensive Legacy Management and Institutional Controls Plan (LMICP) (DOE 2016).

  18. Oral contraceptive compliance during adolescence.

    Science.gov (United States)

    Serfaty, D

    1997-06-17

    A review of the available literature suggests that adolescent lack of compliance with oral contraceptives (OCs) is a multifactorial problem that requires a multifactorial solution. Because of their lack of experience with contraception, higher frequency of intercourse, higher intrinsic fertility, and pattern of frequent stopping or switching of methods, adolescents experience higher OC failure rates than do adult women. Adolescents also are more likely to forget to take the pill or to discontinue due to side effects, without consulting their physician. A survey of European young women identified contraceptive protection without weight gain as the most necessary change in OCs. Adolescents must be counseled not to miss a single pill, observe the pill-free interval, take phasic formulations in the right order, and use a back-up method in case of diarrhea and vomiting or when certain medications (e.g., antibiotics and anti-epileptics) are used concurrently, and be informed of steps to take in the event of side effects and unprotected intercourse. The quality of the counseling appears to be more important to compliance than the quantity of information provided. Pharmacists should complete the counseling initiated by the physician and explain prescription use. The most significant predictor of consistent OC use is the adolescent's motivation.

  19. 2011 ANNUAL SITE ENVIRONMENTAL REPORT

    Energy Technology Data Exchange (ETDEWEB)

    Meyer, A.; Eddy, T.; Jannik, T.; Terry, B.; Cauthen, K.; Coward, L.; Dunaway-Ackerman, J.; Wilson, M.; Hutchison, J.; O' Quinn, S.

    2012-10-01

    The Savannah River Site Environmental Report for 2011 (SRNS-STI-2012-00200) is prepared for the U.S. Department of Energy (DOE) according to requirements of DOE Order 231.1 B, “Environment, Safety and Health Reporting." The annual SRS Environmental Report has been produced for more than 50 years. Several hundred copies are and interested individuals. The report’s purpose is to: present summary environmental data that characterize site environmental management performance; describe compliance status with respect to environmental standards and requirements; highlight significant programs and efforts.

  20. Influence of solar UV irradiance on the quasi-biennial oscillation of zonal winds in the equatorial stratosphere

    Science.gov (United States)

    Gabis, I.; Troshichev, O.

    2006-12-01

    The vertical wind profiles in the equatorial stratosphere for 1953 2005 have been examined in relation to variations of solar F10.7 index to reveal influence of solar UV irradiance on the quasi-biennial oscillation (QBO) of zonal winds. Previously it was shown (Gabis, I.P., Troshichev, O.A., 2005. QBO cycle identified by changes in height profile of the zonal winds: new regularities. Journal of Atmospheric and Solar-Terrestrial Physics 67, 33 44) that Stage 1, with the easterly winds above 20 30 hPa and westerly winds below this layer, always starts in solstice (winter or summer) and can be of different but quite quantized (about 3, 9, or 15 months) duration. The present investigation shows that course of the subsequent, after Stage 1 beginning, evolution of the zonal winds depends on intensity of solar UV flux. The easterly winds descend below ˜30 hPa (Stage 2) only under condition of high level of the UV irradiance or steady increase of the UV flux happening in time of the first equinox in course of QBO cycle. If level of UV irradiance is low or UV flux decreases during the equinox, the easterly winds typical of the upper layer, do not descend below 30 hPa, and Stage 1 persists till next equinox. In other words, the stopping of easterly shear zone at ˜30 hPa is defined by the level of UV irradiance in a proper time. Since the length of the QBO cycle is determined by duration of Stage 1, the cycle length (24, 30, or 36 months) can be predicted setting the time of transformation from Stage 1 to Stage 2.

  1. Explaining G20 and BRICS Compliance

    Directory of Open Access Journals (Sweden)

    Marina Larionova

    2016-11-01

    Full Text Available This article explores the internal and external factors influencing the compliance performance of the Group of 20 (G20 and the BRICS. The authors start with an overview of the G20 and BRICS compliance patterns using comparative data onthe number of commitments made by the two institutions, the level of institutional compliance, and distribution of commitments and compliance across issue areas. G20 compliance is traced since the leaders’ first 2008 summit in Washington. The BRICS compliance performance record includes data since the third stand alone summit in Sanya in 2011.The study then takes stock of compliance catalysts embedded in the summits’ discourse: priority placements, numerical targets, timelines, self-accountability pledges and mandates to implement and/or monitor implementation. The authors review trends in the use of catalysts in different years and issue areas and identify commonalities and differences.The analysis then turns to external causes of compliance and focuses on demand for collective actions and members’ collective power to respond and deliver on their pledges. Here the study explores whether the self-accountability mechanisms created by the institutions in response to the demand for effectiveness and legitimacy facilitate compliance.The article concludes by highlighting catalysts, causes of compliance and their combinations with the greatest power to encourage implementation, explaining trends in G20 and BRICS compliance performance. The data sets on G20 and BRICS differ in terms of scale. The G20 data set contains 1,511 commitments of which 114 have been monitored, and the BRICS data set contains 231 commitments of which 23 have been monitored.

  2. Environmental Report 2007

    Energy Technology Data Exchange (ETDEWEB)

    Mathews, S; Gallegos, G; Berg, L L; Bertoldo, N A; Campbell, C G; Cerruti, S; Doman, J L; Ferry, L S; Grayson, A R; Jones, H E; Kumamoto, G; Larson, J; MacQueen, D H; Paterson, L; Revelli, M A; Ridley, M; Rueppel, D; Wegrecki, A M; Wilson, K; Woollett, J

    2008-09-24

    The purposes of the 'Lawrence Livermore National Laboratory Environmental Report 2007' are to record Lawrence Livermore National Laboratory's (LLNL's) compliance with environmental standards and requirements, describe LLNL's environmental protection and remediation programs, and present the results of environmental monitoring at the two LLNL sites--the Livermore site and Site 300. The report is prepared for the U.S. Department of Energy (DOE) by LLNL's Environmental Protection Department. Submittal of the report satisfies requirements under DOE Order 231.1A, Environmental Safety and Health Reporting, and DOE Order 5400.5, Radiation Protection of the Public and Environment. The report is distributed electronically and is available at https://saer.lln.gov/, the website for the LLNL annual environmental report. Previous LLNL annual environmental reports beginning in 1994 are also on the website. Some references in the electronic report text are underlined, which indicates that they are clickable links. Clicking on one of these links will open the related document, data workbook, or website that it refers to. The report begins with an executive summary, which provides the purpose of the report and an overview of LLNL's compliance and monitoring results. The first three chapters provide background information: Chapter 1 is an overview of the location, meteorology, and hydrogeology of the two LLNL sites; Chapter 2 is a summary of LLNL's compliance with environmental regulations; and Chapter 3 is a description of LLNL's environmental programs with an emphasis on the Environmental Management System including pollution prevention. The majority of the report covers LLNL's environmental monitoring programs and monitoring data for 2007: effluent and ambient air (Chapter 4); waters, including wastewater, storm water runoff, surface water, rain, and groundwater (Chapter 5); and terrestrial, including soil, sediment, vegetation

  3. Site environmental report for 1994. Environmental report, January--December 1994

    Energy Technology Data Exchange (ETDEWEB)

    NONE

    1994-12-31

    This document is the 1994 site environmental report for the Rocky Flats Environmental Technology Site for January thru December. Compliance programs, radiological and nonradiological monitoring, and significant issues and events are described. In addition, the methodology for radiation dose assessment and the Environmental Restoration, Waste Management, and Quality Assurance programs are discussed.

  4. 78 FR 23953 - Draft Environmental Impact Statement/Environmental Impact Report for Yolo Bypass Salmonid Habitat...

    Science.gov (United States)

    2013-04-23

    ... Bureau of Reclamation Draft Environmental Impact Statement/Environmental Impact Report for Yolo Bypass.... We published the notice of intent in the Federal Register on March 4, 2013 (78 FR 14117). The public.... Dated: March 29, 2013. Russell W. Grimes, Chief, Environmental Compliance and Conservation Branch,...

  5. Determinants of Compliance among Pediatric Amblyopia Patients.

    Science.gov (United States)

    Wolff, Hans; Juhasz, Anne McCreary

    Given the recent focus on patient responsibility for health status and improvement, it is important to understand the dynamics involved in patient compliance to treatment regimens. The determinants of patching compliance among 30 pediatric amblyopia patients and their parents were investigated by means of parent, patient, and physician…

  6. 45 CFR 3.3 - Compliance.

    Science.gov (United States)

    2010-10-01

    ... 45 Public Welfare 1 2010-10-01 2010-10-01 false Compliance. 3.3 Section 3.3 Public Welfare DEPARTMENT OF HEALTH AND HUMAN SERVICES GENERAL ADMINISTRATION CONDUCT OF PERSONS AND TRAFFIC ON THE NATIONAL INSTITUTES OF HEALTH FEDERAL ENCLAVE General § 3.3 Compliance. A person must comply with the regulations...

  7. 47 CFR 2.1077 - Compliance information.

    Science.gov (United States)

    2010-10-01

    ... RULES AND REGULATIONS Equipment Authorization Procedures Declaration of Conformity § 2.1077 Compliance information. (a) If a product must be tested and authorized under a Declaration of Conformity, a compliance... the following information: (1) Identification of the product, e.g., name and model number; (2) A...

  8. Implementing compliance controls in public administration

    NARCIS (Netherlands)

    Boer, A.; van Engers, T.

    2011-01-01

    This paper presents a monitoring and diagnosis component of a knowledge cquisition, design, and simulation framework for implementation of compliance in public administration. A major purpose of the framework is to give a methodological justification for the exploration of compliance control policie

  9. Monitoring managers through corporate compliance programs

    NARCIS (Netherlands)

    Angelucci, C.; Han, M.A.

    2011-01-01

    Compliance programs entail monitoring of employees' behavior with the claimed objective of fighting corporate crime. (Competition) Authorities promote such intra-firm monitoring. In a three-tier hierarchy model, authority-shareholder-manager, we study the impact of monitoring through a compliance pr

  10. Tax Compliance over the Firm Life Course

    NARCIS (Netherlands)

    Stam, F.C.; Verbeeten, F.H.M.

    2017-01-01

    This article provides a new model of tax compliance over the firm life course, focusing on the dynamics in the underlying motivations and capacities for tax compliance. We review and structure the relevant literature on the early life course of firms: the traditional stages of growth models and a le

  11. Correlates of exercise compliance in physical therapy.

    NARCIS (Netherlands)

    Sluijs, E.M.; Kok, G.J.; Zee, J. van der

    1993-01-01

    BACKGROUND AND PURPOSE: This correlational study describes factors that are related to patient compliance with exercise regimens during physical therapy. We investigated whether patient compliance was related to characteristics of the patient or the patient's illness, to the patient's attitude, or t

  12. 45 CFR 80.6 - Compliance information.

    Science.gov (United States)

    2010-10-01

    ... 45 Public Welfare 1 2010-10-01 2010-10-01 false Compliance information. 80.6 Section 80.6 Public... THE CIVIL RIGHTS ACT OF 1964 § 80.6 Compliance information. (a) Cooperation and assistance. The... reports at such times, and in such form and containing such information, as the responsible...

  13. 22 CFR 141.5 - Compliance information.

    Science.gov (United States)

    2010-04-01

    ... 22 Foreign Relations 1 2010-04-01 2010-04-01 false Compliance information. 141.5 Section 141.5... DEPARTMENT OF STATE-EFFECTUATION OF TITLE VI OF THE CIVIL RIGHTS ACT OF 1964 § 141.5 Compliance information... such information, as a responsible Departmental official or his designee may determine to be...

  14. 33 CFR 104.120 - Compliance documentation.

    Science.gov (United States)

    2010-07-01

    ... 33 Navigation and Navigable Waters 1 2010-07-01 2010-07-01 false Compliance documentation. 104.120... SECURITY MARITIME SECURITY: VESSELS General § 104.120 Compliance documentation. (a) Each vessel owner or... maintain the documentation described in paragraphs (a)(1), (2), or (3) of this section. The letter...

  15. 33 CFR 105.120 - Compliance documentation.

    Science.gov (United States)

    2010-07-01

    ... 33 Navigation and Navigable Waters 1 2010-07-01 2010-07-01 false Compliance documentation. 105.120... SECURITY MARITIME SECURITY: FACILITIES General § 105.120 Compliance documentation. Each facility owner or... documentation are available at the facility and are made available to the Coast Guard upon request: (a)...

  16. Maternal Responsiveness and Subsequent Child Compliance.

    Science.gov (United States)

    Parpal, Mary; Maccoby, Eleanor E.

    1985-01-01

    Contrasts effects of three modes of mother/child interaction on children's subsequent compliance with maternal directives. Subjects were 39 children from lower-middle-class families, ranging in age from approximately three to four-and-a-half. Responsive play and noninteractive conditions produced higher levels of compliance than the untrained free…

  17. 30 CFR 90.207 - Compliance sampling.

    Science.gov (United States)

    2010-07-01

    ... 30 Mineral Resources 1 2010-07-01 2010-07-01 false Compliance sampling. 90.207 Section 90.207... MANDATORY HEALTH STANDARDS-COAL MINERS WHO HAVE EVIDENCE OF THE DEVELOPMENT OF PNEUMOCONIOSIS Sampling Procedures § 90.207 Compliance sampling. (a) The operator shall take five valid respirable dust samples...

  18. 5 CFR 900.406 - Compliance information.

    Science.gov (United States)

    2010-01-01

    ... 5 Administrative Personnel 2 2010-01-01 2010-01-01 false Compliance information. 900.406 Section... Compliance information. (a) Cooperation and assistance. OPM, to the fullest extent practicable, shall seek... at the times, and in the form and containing the information OPM may determine necessary to enable...

  19. [Predictors for compliance in orthodontic treatment].

    Science.gov (United States)

    Müssig, E; Berger, M; Komposch, G; Brunner, M

    2008-03-01

    Having established the importance of compliance as a significant factor of a successful orthodontic treatment, the aim of the present study was to evaluate intrapersonal and interpersonal factors which could help predict patient compliance. The attributional style of 58 patients was assessed by a standardised questionnaire. An individual questionnaire was designed to determine attitudes concerning orthodontic treatment, the doctor-patient relationship, the wearing behaviour and control behaviour. The questionnaire was answered by the patient and by the orthodontist. The compliance was evaluated by the orthodontist on the basis of commonly used indicators for compliance: wearing time, oral hygiene and reliability of keeping the appointments. The results showed a significant correlation between the compliance and the attributional style of the patients in positive situations, but not between the compliance and the wearing behaviour estimated by the patient. The interpersonal comparison revealed a lack of knowledge on the part of the orthodontist about the patients' daily activities and their ability to correctly wear their appliances. The questionnaire answers show compliance to be a subjective construct of the orthodontist demonstrating mostly social-emotional matters. There is no consistency with compliance and the patients' statement concerning their wearing behaviour but with a positive attitude on the part of the patients demonstrating independent responsibility.

  20. 33 CFR 106.110 - Compliance dates.

    Science.gov (United States)

    2010-07-01

    ... 33 Navigation and Navigable Waters 1 2010-07-01 2010-07-01 false Compliance dates. 106.110 Section... MARINE SECURITY: OUTER CONTINENTAL SHELF (OCS) FACILITIES General § 106.110 Compliance dates. (a) On or... TWIC under this part may enroll beginning after the date set by the Coast Guard in a Notice to...

  1. 49 CFR 214.305 - Compliance dates.

    Science.gov (United States)

    2010-10-01

    ... 49 Transportation 4 2010-10-01 2010-10-01 false Compliance dates. 214.305 Section 214.305..., DEPARTMENT OF TRANSPORTATION RAILROAD WORKPLACE SAFETY Roadway Worker Protection § 214.305 Compliance dates. Each program adopted by a railroad shall comply not later than the date specified in the...

  2. 33 CFR 105.115 - Compliance dates.

    Science.gov (United States)

    2010-07-01

    ... 33 Navigation and Navigable Waters 1 2010-07-01 2010-07-01 false Compliance dates. 105.115 Section... MARITIME SECURITY: FACILITIES General § 105.115 Compliance dates. (a) On or before December 31, 2003... required to obtain a TWIC under this part may enroll beginning after the date set by the Coast Guard in...

  3. Proceedings of the U.S. Geological Survey Eighth Biennial Geographic Information Science Workshop and first The National Map Users Conference, Denver, Colorado, May 10-13, 2011

    Science.gov (United States)

    Sieverling, Jennifer B.; Dietterle, Jeffrey

    2014-01-01

    The U.S. Geological Survey (USGS) is sponsoring the first The National Map Users Conference in conjunction with the eighth biennial Geographic Information Science (GIS) Workshop on May 10-13, 2011, in Lakewood, Colorado. The GIS Workshop will be held at the USGS National Training Center, located on the Denver Federal Center, Lakewood, Colorado, May 10-11. The National Map Users Conference will be held directly after the GIS Workshop at the Denver Marriott West, a convention hotel in the Lakewood, Colorado area, May 12-13. The National Map is designed to serve the Nation by providing geographic data and knowledge for government, industry, and public uses. The goal of The National Map Users Conference is to enhance communications and collaboration among the communities of users of and contributors to The National Map, including USGS, Department of the Interior, and other government GIS specialists and scientists, as well as the broader geospatial community. The USGS National Geospatial Program intends the conference to serve as a forum to engage users and more fully discover and meet their needs for the products and services of The National Map. The goal of the GIS Workshop is to promote advancement of GIS and related technologies and concepts as well as the sharing of GIS knowledge within the USGS GIS community. This collaborative opportunity for multi-disciplinary GIS and associated professionals will allow attendees to present and discuss a wide variety of geospatial-related topics. The Users Conference and Workshop collaboration will bring together scientists, managers, and data users who, through presentations, posters, seminars, workshops, and informal gatherings, will share accomplishments and progress on a variety of geospatial topics. During this joint event, attendees will have the opportunity to present or demonstrate their work; to develop their knowledge by attending hands-on workshops, seminars, and presentations given by professionals from USGS and

  4. Proceedings of the U.S. Geological Survey Sixth Biennial Geographic Information Science Workshop, Denver, Colorado, April 24-28, 2006

    Science.gov (United States)

    Brakebill, John W.; Sieverling, Jennifer B.; Chirico, Peter G.

    2006-01-01

    The U.S. Geological Survey's (USGS) Sixth Biennial Geographic Information Science Workshop April 24 - 28, 2006, at the Denver Federal Center in Denver, Colorado, provides a unique opportunity for multi-disciplinary Geographic Information Systems (GIS) and associated scientific professionals to share, learn, present, and discuss a wide variety of geospatial-related topics. Information is exchanged through a series of plenary sessions, hands-on technical workshops, user and commercial vendor demonstrations, lecture and poster sessions, and specialty meetings. Workshop attendance is limited to Department of Interior (DOI) and USGS employees and contractors; however, plenary, hands-on, and lecture sessions have presenters from other Federal agencies, numerous commercial vendors, universities, and several consortia. Over 175 participants are expected to attend the Workshop. Several prominent speakers are featured at this Workshop. Monday evening Star Guest Speaker and National Aeronautics and Space Administration (NASA) Astronaut Captain Dominic Gorie will talk about his experiences as a veteran of three space flights and over 32 days in space, including the NASA Space Shuttle Radar Topography Mission that mapped more than 47 million miles of the Earth's land surface. Selected as an astronaut candidate by NASA in December 1994, Captain Gorie is currently Chief of the Astronaut Shuttle Branch. Monday evening also features a town hall meeting with Geographic Information Office (GIO) leaders Karen Siderelis, Kevin Gallagher, Bob Pierce, Steve Guptill, Mark DeMulder, John Mahoney, and Mark Negri, who will discuss changes and activities within the GIO in an open discussion format. Tuesday plenary sessions feature keynote speaker Dr. P. Patrick Leahy, Acting USGS Director. Dr. Leahy holds undergraduate and graduate degrees in geology (1968) and geophysics (1970) from Boston College. In 1979, he received his doctorate in geology from Rensselaer Polytechnic Institute, where he

  5. Quasi-Biennial and Quasi-Decadal Variations in Snow Accumulation over Northern Eurasia and Their Connections to the Atlantic and Pacific Oceans.

    Science.gov (United States)

    Ye, Hengchun

    2001-12-01

    Spatial and temporal characteristics of winter snow depth variation over northern Eurasia and their connections to sea surface temperatures (SSTs) and associated atmospheric circulation anomalies, surface air temperatures, and precipitation are examined by using 60 yr (1936-95) of station data records. This study found that snow depth variation over the region east of the Caspian Sea and west of China, explaining 10.1% of total snow depth variance, has a quasi-biennial variability of about 2.5 yr. The snow depth variation over central European Russia and western-central Siberia, explaining 8.1% of the total snow depth variance, has a quasi-decadal variability of about 11.8 yr. The snow depth variation over the northern Ural Mountains, explaining 7.5% of the total snow depth variance has, variability of about 8 and 14 yr.The quasi-biennial snow depth variation is associated with SSTs over the northern North Pacific and tropical western Atlantic extending into the Gulf of Mexico. The associated atmospheric circulation pattern of Eurasia 1 (EU-1) and the Pacific-North American (PNA) pattern determine the surface air temperature conditions and thus snow depth at the biennial timescale. The quasi-decadal snow variation is associated with a well-known SST anomaly pattern over the Atlantic, having opposite SST variations in alternating latitudinal belts, and SSTs over the tropical Pacific Ocean. The associated atmospheric North Atlantic oscillation (NAO) and the circulation anomaly over central Siberia affect both surface air temperature and precipitation and thus snow depth anomaly on this quasi-decadal timescale. The results provide observational evidence of possible causes for snow depth variability over high-latitude regions.

  6. Culture and compliance: an anthropologist’s view

    OpenAIRE

    Sampson, Steven

    2014-01-01

    The concept of "culture" is often used improperly in the literature and training on business ethics and compliance. A more sophisticated view of 'culture of compliance' is required. Published in a magazine for ethics and compliance professionals

  7. 41 CFR 60-2.30 - Corporate management compliance evaluations.

    Science.gov (United States)

    2010-07-01

    ... Relating to Public Contracts OFFICE OF FEDERAL CONTRACT COMPLIANCE PROGRAMS, EQUAL EMPLOYMENT OPPORTUNITY, DEPARTMENT OF LABOR 2-AFFIRMATIVE ACTION PROGRAMS Miscellaneous § 60-2.30 Corporate management compliance evaluations. (a) Purpose. Corporate Management Compliance Evaluations are designed to ascertain...

  8. International Criminal Justice and the Politics of Compliance

    NARCIS (Netherlands)

    Lamont, Christopher

    2010-01-01

    International Criminal Justice and the Politics of Compliance provides a comprehensive study of compliance with legal obligations derived from the International Criminal Tribunal for the former Yugoslavia's (ICTY) Statute and integrates theoretical debates on compliance into international justice sc

  9. Oak Ridge Reservation Annual Site environmental report for 1994

    Energy Technology Data Exchange (ETDEWEB)

    Koncinski, W.S. [ed.] [Oak Ridge National Lab., TN (United States)

    1995-10-01

    This report presents the details of the environmental monitoring and management plan for the Oak Ridge Reservation. Topics include: site and operations overview; environmental compliance strategies; environmental management program; effluent monitoring; environmental surveillance; radiation doses; chemical doses; ground water; and quality assurance.

  10. Rocky Flats Plant Site Environmental Report for 1992

    Energy Technology Data Exchange (ETDEWEB)

    Cirrincione, D.A.; Erdmann, N.L. [eds.

    1992-12-31

    The Rocky Rats Plant Site Environmental Report provides summary information on the plant`s environmental monitoring programs and the results recorded during 1992. The report contains a compliance summary, results of environmental monitoring and other related programs, a review of environmental remediation activities, information on external gamma radiation dose monitoring, and radiation dose estimates for the surrounding population.

  11. A Review of Factors for Tax Compliance

    Directory of Open Access Journals (Sweden)

    Nicoleta BARBUTA-MISU

    2011-03-01

    Full Text Available The aim of this paper is to identify the variables of tax compliance analysed by researchers from various countries and adapting them to the Romanian conditions to create a model to include factors that influence decision of tax compliance. Tax compliance has been studied in economics by analysing the individual decision of a representative person between paying taxes and evading taxes. In the research of tax compliance have been done many empirical studies that emphasized the impact of a wide variety of potential determinants of voluntary compliance with individual income/profit tax filing and reporting obligations. The most important determinants identified are: economic factors as the level of income, audit probabilities, tax audit, tax rate, tax benefits, penalties, fines and other non-economic factors as attitudes toward taxes, personal, social and national norms, perceived fairness etc.

  12. 40 CFR Table 4 to Subpart Lllll of... - Initial Compliance With Emission Limitations

    Science.gov (United States)

    2010-07-01

    ... 40 Protection of Environment 13 2010-07-01 2010-07-01 false Initial Compliance With Emission Limitations 4 Table 4 to Subpart LLLLL of Part 63 Protection of Environment ENVIRONMENTAL PROTECTION AGENCY... Asphalt Roofing Manufacturing Pt. 63, Subpt. LLLLL, Table 4 Table 4 to Subpart LLLLL of Part 63—Initial...

  13. 40 CFR Table 5 to Subpart Lllll of... - Continuous Compliance With Operating Limits a

    Science.gov (United States)

    2010-07-01

    ... 40 Protection of Environment 13 2010-07-01 2010-07-01 false Continuous Compliance With Operating Limits a 5 Table 5 to Subpart LLLLL of Part 63 Protection of Environment ENVIRONMENTAL PROTECTION AGENCY... Asphalt Roofing Manufacturing Pt. 63, Subpt. LLLLL, Table 5 Table 5 to Subpart LLLLL of Part 63—Continuous...

  14. 40 CFR 63.2851 - What is a plan for demonstrating compliance?

    Science.gov (United States)

    2010-07-01

    ... source because of site-specific factors such as equipment design characteristics and operating conditions... 40 Protection of Environment 12 2010-07-01 2010-07-01 true What is a plan for demonstrating compliance? 63.2851 Section 63.2851 Protection of Environment ENVIRONMENTAL PROTECTION AGENCY (CONTINUED)...

  15. 40 CFR Table 8 to Subpart Eeee of... - Continuous Compliance With Emission Limits

    Science.gov (United States)

    2010-07-01

    ... 40 Protection of Environment 12 2010-07-01 2010-07-01 true Continuous Compliance With Emission Limits 8 Table 8 to Subpart EEEE of Part 63 Protection of Environment ENVIRONMENTAL PROTECTION AGENCY... organic HAP (or, upon approval, TOC) in the exhaust of combustion devices i. Performing CMS monitoring...

  16. 40 CFR 63.9808 - How do I monitor and collect data to demonstrate continuous compliance?

    Science.gov (United States)

    2010-07-01

    ... 40 Protection of Environment 14 2010-07-01 2010-07-01 false How do I monitor and collect data to demonstrate continuous compliance? 63.9808 Section 63.9808 Protection of Environment ENVIRONMENTAL PROTECTION... include out of control continuous monitoring systems (CMS), such as a CPMS. Any averaging period for...

  17. 77 FR 12297 - Petition To Demonstrate Paperwork Reduction Act Compliance of the Endocrine Disruptor Screening...

    Science.gov (United States)

    2012-02-29

    ... Subjects Environmental protection, EDSP, Endocrine Disruptors Screening Program, FFDCA orders, List 1... AGENCY Petition To Demonstrate Paperwork Reduction Act Compliance of the Endocrine Disruptor Screening... Request (ICR) of the first list of 67 chemicals to receive orders under the Endocrine Disruptor...

  18. Student manual, Book 2: Orientation to occupational safety compliance in DOE

    Energy Technology Data Exchange (ETDEWEB)

    Colley, D.L.

    1993-10-01

    This is a student hand-book an Occupational Safety Compliance in DOE. Topics include the following: Electrical; materials handling & storage; inspection responsibilities & procedures; general environmental controls; confined space entry; lockout/tagout; office safety, ergonomics & human factors; medical & first aid, access to records; construction safety; injury/illness reporting system; and accident investigation procedures.

  19. 40 CFR 57.703 - Compliance with the supplementary control system requirements.

    Science.gov (United States)

    2010-07-01

    ... control system requirements. 57.703 Section 57.703 Protection of Environment ENVIRONMENTAL PROTECTION... Requirements § 57.703 Compliance with the supplementary control system requirements. This section applies to... shall require immediately upon issuance of the NSO operation of any existing supplementary control...

  20. 40 CFR 63.5714 - How do I demonstrate compliance if I use filled resins?

    Science.gov (United States)

    2010-07-01

    ... use filled resins? 63.5714 Section 63.5714 Protection of Environment ENVIRONMENTAL PROTECTION AGENCY... Molding Resin and Gel Coat Operations § 63.5714 How do I demonstrate compliance if I use filled resins? (a) If you are using a filled production resin or filled tooling resin, you must demonstrate...

  1. 40 CFR Table 1 to Subpart Jjj of... - Generic Compliance Schedules and Increments of Progress

    Science.gov (United States)

    2010-07-01

    ... 40 Protection of Environment 8 2010-07-01 2010-07-01 false Generic Compliance Schedules and Increments of Progress 1 Table 1 to Subpart JJJ of Part 62 Protection of Environment ENVIRONMENTAL PROTECTION... or Before August 30, 1999 Pt. 62, Subpt. JJJ, Table 1 Table 1 to Subpart JJJ of Part 62—Generic...

  2. 40 CFR 125.61 - Existence of and compliance with applicable water quality standards.

    Science.gov (United States)

    2010-07-01

    ... applicable water quality standards. 125.61 Section 125.61 Protection of Environment ENVIRONMENTAL PROTECTION... Water Act § 125.61 Existence of and compliance with applicable water quality standards. (a) There must exist a water quality standard or standards applicable to the pollutant(s) for which a section 301(h...

  3. 40 CFR Table 42 to Subpart Uuu of... - Additional Information for Initial Notification of Compliance Status

    Science.gov (United States)

    2010-07-01

    ... Notification of Compliance Status 42 Table 42 to Subpart UUU of Part 63 Protection of Environment ENVIRONMENTAL... Refineries: Catalytic Cracking Units, Catalytic Reforming Units, and Sulfur Recovery Units Pt. 63, Subpt. UUU... engineering assessment (if applicable); and if applicable, the flare design (e.g., steam-assisted,...

  4. 40 CFR 63.11499 - What are the standards and compliance requirements for heat exchange systems?

    Science.gov (United States)

    2010-07-01

    ... requirements for heat exchange systems? 63.11499 Section 63.11499 Protection of Environment ENVIRONMENTAL... and compliance requirements for heat exchange systems? (a) If the cooling water flow rate in your heat... part 211, you may use the physical integrity of the reactor as the surrogate indicator of...

  5. 40 CFR 141.605 - Subpart V compliance monitoring location recommendations.

    Science.gov (United States)

    2010-07-01

    ... location recommendations. 141.605 Section 141.605 Protection of Environment ENVIRONMENTAL PROTECTION AGENCY... System Evaluations § 141.605 Subpart V compliance monitoring location recommendations. (a) Your IDSE... the criteria in paragraphs (b) through (e) of this section. (b) You must select the number...

  6. Metabolic syndrome patient compliance with drug treatment

    Directory of Open Access Journals (Sweden)

    Nilcéia Lopes

    2008-01-01

    Full Text Available OBJECTIVES: 1 To evaluate the compliance with drug treatment in patients with metabolic syndrome. 2 To determine association between access to and use of medicines, as well as the level of knowledge of cardiovascular risk factors and compliance. INTRODUCTION: Low compliance has been one of the greatest challenges for the successful treatment of chronic diseases. Although this issue has been widely studied in patients with isolated hypertension, diabetes and dyslipidemia, compliance studies involving patients with these concomitant diseases or with metabolic syndrome diagnosis are scarce. METHODS: This was a cross-sectional study involving patients who have been diagnosed with metabolic syndrome according to the IDF criteria. Patients were being treated in a Health-Medical School Center bound to the Public Brazilian Healthcare System. This study was conducted in two phases. Phase I was characterized by analyzing medical records and Phase II involved interviewing the patients. A variation of the Morisky-Green Test was used to evaluate compliance. Compliance was the dependent variable and the independent variables included access to medicines, the use of medicines and the level of knowledge concerning cardiovascular risk factors. RESULTS: Two hundred and forty-three patients were identified as being eligible for Phase II, and 75 were included in the study. The average level of compliance was 5.44 points (standard deviation of 0.68, on a scale ranging from 1.00 to 6.00 points. There was no statistically meaningful association between independent variables and compliance. The level of patient knowledge of diet and dyslipidemia was considered to be low. CONCLUSIONS: Patients involved in this study exhibited a high level of compliance with drug treatment. Further research is needed to better elucidate the compliance behavior of patients who have been diagnosed with metabolic syndrome.

  7. Environmental Compliance Assessment Protocol - Federal Aviation Administration (ECAP - FAA)

    Science.gov (United States)

    1993-10-01

    5000 1 U102 131-11-3 Dimethy si aula 500 100 x U103 77-78-1 Dimethylamine 1000 U092 124-40-3 Diniethyldichlorasilmne 500 75-78-5 Dimethylhydrzuins...dielec- tic fluid in any transformers classified as FOB-contaminated Electrical Equipment (50 - 500 ppm PCBs). (NOTE: PCB Transformers may be

  8. Environmental Compliance Assessment System (ECAS). North Carolina Supplement

    Science.gov (United States)

    1994-09-01

    pentachlorophenol 0.003 0.025 phenol 0.95 phosgene 0.0025 phosphine 0.13 polychlorinated biphenyls 8.3x 10-5 styrene 1.34 42.5 sulfuric acid 0.012 0.1 1...0.13 N-nitrosodimethylamine 3.4 pentachlorophenol 0.063 0.0064. perchloroethylene 13000.0 phenol 0.24 phosgene 0.052 phosphine 0.008 polychlorinated...vehicles and containers used for transportation are cleaned as often as necessary to prevent a nuisance or insect breeding and are maintained in good

  9. ADVANCING TECHNOLOGY AND METHODOLOGY TO STREAMLINE ENVIRONMENTAL COMPLIANCE

    Energy Technology Data Exchange (ETDEWEB)

    Ben Grunewald; Paul Jehn

    2002-11-15

    By early 2000, fifteen oil and gas State Agencies were using RBDMS or a RBDMS utility to handle a significant amount or all of their data management needs. There are three additional State slated to begin implementation this year. There are an additional twelve State agencies that are not utilizing this technology that have proven to be very useful for so many other States. This project will allow for the base RBDMS install in all State oil and gas agency that desire it.

  10. Environmental Compliance Assessment System (ECAS). Kentucky Supplement (Revised)

    Science.gov (United States)

    1994-02-01

    containing metals including stoves , refrigerators, air conditioners, and other appliances. Ferrous metals do not include whole automo- biles or other...gaseous fuel derived from solid fuel to create useful heat including, but not limited to, solvent refined coal, liquefied coal, and gasified coal

  11. Environmental Compliance Assessment and Management Program (ECAMP), South Carolina Supplement

    Science.gov (United States)

    1994-04-01

    millimeters of mercury g gram mpn most probable number gal gallons mrem millirem gpd gallons per day MW megaWatt gpm gallons per minute NTU nephelometric...cleaning metal surfaces by using either cold or vaporized solvents. "* Cremator . Incinerator - any incinerator designed and used solely for the burning of...particulate matter emissions do not exceed 1.3 lb/ton of dry sludge - mercury emissions do not exceed 3200 g/day. Hazardous Waste Incinerators Verify that

  12. Worldwide Environmental Compliance Assessment and Management Program (ECAMP)

    Science.gov (United States)

    1991-01-01

    chlornethyl)- Oxydistalotnn 600 2497-07-6 Ozone 100 10028-16-6 2-40 Cbm*dI?’b23 a CRIA 813 RCBA CAS N. p-Anisidine x 104-94-9 p-Bemuoquixxne 10 x U197...syem) is checked to enuwe good working order. -At least daily, data frm rwnitofing equpnt is clecked t1 erane Peces is operated in accordance with its

  13. Environmental Compliance Assessment System (ECAS). Rhode Island Supplement

    Science.gov (United States)

    1994-07-01

    year 99 microgram mm Hg millimeters of mercury pLm micrometer mgd milligrams per day Apa micropascals Chemicals CO carbon monoxide CO2 carbon...less 16 b/day, but not less Norma seasona and diurnal at any time or place than 5 mg/L at any time, than 5 mgIL at any time variations above 5 mg/L

  14. Worldwide Environmental Compliance Assessment and Management System Program (ECAMP)

    Science.gov (United States)

    1993-09-01

    substitutes such as grains, cocoa and nuts 7.24 Powdered milk factories 7.25 LiCorice and chocolate factories 8. Use and Disposal of Wastes 8.1 Plants...Cumol) 2- 18 Table 2-4 Non-Dangerous and Non-Harmful Substances in Water Receptor Mediums (WDCI) Index Substance Name Solubil - Acute Acute Acute Danger

  15. Environmental Compliance Assessment System Army National Guard (ECAS- ARNG)

    Science.gov (United States)

    1993-09-01

    4150.7, p•ma F5 , and AR 420-76, Verify that each pest control worksheet contains: (1)(2X23) para 3-2b, Appendix C). - objectives of control...documents or other provisions contained in the BPP or CRMP, in the PA, or elsewhere providing for such review and updating. (1) Facilities Management Officer

  16. Lawrence Berkeley National Laboratory 1995 site environmental report

    Energy Technology Data Exchange (ETDEWEB)

    Balgobin, D.; Javandel, I.; Lackner, G.; Smith, C.; Thorson, P.; Tran, H.

    1996-07-01

    The 1995 Site Environmental Report summarizes environmental activities at the Ernest Orlando Lawrence Berkeley National Laboratory (LBNL) for the 1995 calendar year. The report strives to present environmental data in a manner that characterizes the performance and compliance status of the environmental management programs. The report also discusses significant highlights and plans of these programs. Topics discussed include: environmental monitoring, environmental compliance programs, air quality, water quality, ground water protection, sanitary sewer monitoring, soil and sediment quality, vegetation and foodstuffs monitoring, and special studies which include preoperational monitoring of building 85 and 1995 sampling results, radiological dose assessment, and quality assessment.

  17. Pinellas Plant annual site environmental report for calendar year 1993

    Energy Technology Data Exchange (ETDEWEB)

    1994-06-10

    Martin Marietta Specialty Components, Inc., and the US Department of Energy are committed to successfully administering a high quality Environmental Management Program at the Pinellas Plant in Pinellas County, Florida. Part of this commitment includes accurately documenting and communicating to the Pinellas Plant stakeholder the results of their environmental compliance and monitoring activities. The Annual Site Environmental Report presents a comprehensive summary of the results of the environmental monitoring, waste management, and environmental restoration programs at the Pinellas Plant for 1993. This report also includes the plant`s performance in the areas of compliance with applicable regulatory requirements and standards and identifies major environmental management program initiatives and accomplishments for 1993.

  18. Hanford Site Environmental Report for calendar year 1992

    Energy Technology Data Exchange (ETDEWEB)

    Woodruff, R.K.; Hanf, R.W.; Lundgren, R.E. [eds.

    1993-06-01

    This report is prepared annually to summarize environmental data and information, describe environmental management performance, and demonstrate the status of compliance with environmental regulations at the Hanford Site. The following sections: describe the Hanford Site and its mission; summarize the status in 1992 of compliance with environmental regulations; describe the environmental programs at the Hanford Site; discuss public dose estimates from 1992 Hanford activities; present information on effluent monitoring and environmental surveillance, including ground-water protection and monitoring, and discuss activities to ensure quality.

  19. Environmental Program

    Science.gov (United States)

    Fischer, Holger

    2009-01-01

    NASA's White Sands Test Facility has six core environmental compliance capabilities: remote hazardous testing of reactive, explosive and toxic materials and fluids; hypergolic fluids materials and systems testing; oxygen materials and system testing; hypervelocity impact testing; flight hardware processing; and, propulsion testing. The facility's permit status and challenges are reviewed. Historic operations and practices dating from the 1960s through the early 1980s resulted in contamination of the facility's groundwater. An environmental restoration effort has been employed to protect public health and the health of the workforce. The restoration seeks to properly handle hazardous materials and waste processes; determine the nature and extent of the contamination; stop the migration of contaminated groundwater; stabilize the plume front which has been assessed as the greatest risk to public health; and, clean-up the environment to restore it to preexisting conditions. The Plume Front Treatment System is operational and seeks to stop the westward movement of the plume to protect drinking water and irrigation well. Specifically, the treatment system will extract contaminated water from the aquifer, remove chemical using the best available technology, and return (inject) the treated water back to the aquifer. The Mid-Plume Interception Treatment System also seeks to stop the migration of containment, as well as to evaluate new technologies to accelerate cleanup, such as bioremediation.

  20. 40 CFR 194.55 - Results of compliance assessments.

    Science.gov (United States)

    2010-07-01

    ...) Compliance assessments shall consider and document uncertainty in the performance of the disposal system. (b) Probability distributions for uncertain disposal system parameter values used in compliance assessments...

  1. Site Environmental Report for 1998

    Energy Technology Data Exchange (ETDEWEB)

    Holland, R.C.

    1999-06-01

    Sandia National Laboratories (SNL) is committed to conducting its operations in an environmentally safe and sound manner. It is mandatory that activities at SNL/California comply with all applicable environmental statutes, regulations, and standards. Moreover, SNL/California continuously strives to reduce risks to employees, the public, and the environment to the lowest levels reasonably possible. To help verify effective protection of public safety and preservation of the environment, SNL/California maintains an extensive, ongoing environmental monitoring program. This program monitors all significant effluents and the environment at the SNL/California site perimeter. Lawrence Livermore National Laboratory (LLNL) performs off-site external radiation monitoring for both sites. These monitoring efforts ensure that emission controls are effective in preventing contamination of the environment. As part of SNL/California's Environmental Monitoring Program, an environmental surveillance system measures the possible presence of hazardous materials in groundwater, stormwater, and sewage. The program also includes an extensive environmental dosimetry program, which measures external radiation levels around the Livermore site and nearby vicinity. Each year, the results of the Environmental Monitoring Program are published in this report, the Site Environmental Report. This executive summary focuses on impacts to the environment. Chapter 3, ''Compliance Summary,'' reviews the site's various environmental protection activities and compliance status with applicable environmental regulations. The effluent monitoring and environmental surveillance results for 1998 show that SNL/California operations had no harmful effects on the environment or the public.

  2. Compliance with US asthma management guidelines and specialty care: a regional variation or national concern?

    Science.gov (United States)

    Meng, Y Y; Leung, K M; Berkbigler, D; Halbert, R J; Legorreta, A P

    1999-05-01

    The objective of this study was to examine the compliance with the National Asthma Education Program (NAEP) guidelines among asthmatic members of eight health plans (regions) in seven states, as well as the factors related to the compliance. Information was gathered by means of a cross-sectional survey in a managed care environment. The participants were 6703 respondents (ages 14-65) with moderate or severe asthma. The main outcome measures were compliance with the NAEP guidelines on the use of inhaled steroids, inhaled beta2-agonists, peak flow measurement, and allergy evaluations. Among the results of this survey we found that although these health plans are located from the West Coast to the East Coast and the socioeconomic status of their members varied greatly, compliance with the NAEP guidelines was low among asthmatic members across all geographical regions. The major areas of low compliance identified were inappropriate pharmacological therapy, lack of objective measurement of lung function through peak flow meter, and insufficient environmental trigger control. The regression analyses indicated that the effect of the health plan explained little of the variation in compliance across these regions (only 0.3% at maximum). Low compliance was associated with young age, smoking, moderate asthma, being asthmatic for a few years, currently working, and being treated by a generalist rather than a specialist. In conclusion, this study showed that the compliance with the national guidelines for asthma care was consistently low across different geographical regions in the nation. Improvement in care for asthmatics will require greater commitment and involvement by all stakeholders including physicians, patients, health plans, and employers. We suggest a need for a national strategy to disseminate clinical guidelines not only to the medical community but also to patients themselves.

  3. Changes in compliance rates of evaluation criteria after health care accreditation: Mainly on radiologic technologists working at University Hospitals in Daejeon area

    Energy Technology Data Exchange (ETDEWEB)

    Ko, Eun Ju; Kim, Hyun Joo [Dept. of Public Health, The Graduate School of Konyang University, Daejeon (Korea, Republic of); Lee, Jin Yong [Public Health Medical Service, Seoul National University Boramae Medical Center, Seoul (Korea, Republic of); Bae, Seok Hwan [Dept. of Radiological Science, Konyang University, Daejeon (Korea, Republic of)

    2013-12-15

    This study aimed to assess whether the changes in compliance rates of evaluation criteria after healthcare accreditation among radiologic technologists working at four university hospitals which had acquired healthcare accreditation in Daejeon metropolitan area. In this study, the evaluation criteria of healthcare accreditation were reclassified and reevaluated to three areas which include patient safety, staff safety, and environmental safety. Each area has eight, three, and five questions, respectively. Each compliance rate was quantitatively measured on a scale of 0 to 10 before and after in this study. The result shows that the overall compliance rates were decreased on all areas compared to the time healthcare accreditation was obtained. The compliance rate of hand hygiene was drastically reduced. To maintain the compliance rates, not only individuals but healthcare organizations should simultaneously endeavor. In particular, healthcare organizations should make an effort to provide continuous education opportunity to their workers and supervise the compliance regularly.

  4. Environmental Monitoring Plan, Revision 6

    Energy Technology Data Exchange (ETDEWEB)

    Gallegos, G M; Bertoldo, N A; Blake, R G; Campbell, C G; Grayson, A R; Nelson, J C; Revelli, M A; Rosene, C A; Wegrecki, T; Williams, R A; Wilson, K R; Jones, H E

    2012-03-02

    The purpose of environmental monitoring is to promote the early identification of, and response to, potential adverse environmental impacts associated with Lawrence Livermore National Laboratory (LLNL) operations. Environmental monitoring supports the Integrated Safety Management System (ISMS), International Organization for Standardization (ISO) 14001 Environmental Management Systems standard, and U. S. Department of Energy (DOE) Order 458.1, Radiation Protection of the Public and the Environment. Specifically, environmental monitoring enables LLNL to detect, characterize, and respond to releases from LLNL activities; assess impacts; estimate dispersal patterns in the environment; characterize the pathways of exposure to members of the public; characterize the exposures and doses to individuals and to the population; and to evaluate the potential impacts to the biota in the vicinity of LLNL. Environmental monitoring is also a major component of compliance demonstration for permits and other regulatory requirements. The Environmental Monitoring Plan (EMP) addresses the sample collection and analytical work supporting environmental monitoring to ensure the following: (1) A consistent system for collecting, assessing, and documenting environmental data of known and documented quality; (2) A validated and consistent approach for sampling and analysis of samples to ensure laboratory data meets program-specific needs and requirements within the framework of a performance-based approach for analytical laboratory work; and (3) An integrated sampling approach to avoid duplicative data collection. LLNL prepares the EMP because it provides an organizational framework for ensuring that environmental monitoring work, which is integral to the implementation of LLNL's Environmental Management System, is conducted appropriately. Furthermore, the Environmental Monitoring Plan helps LLNL ensure compliance with DOE Order 231.1 Change 2, Environment, Safety and Health Reporting

  5. Environmental Report 2001

    Energy Technology Data Exchange (ETDEWEB)

    Althouse, P E; Bertoldo, N A; Blake, R G; Brigdon, S L; Brown, R A; Campbell, C G; Christofferson, E; Clark, L M; Grayson, A R; Harrach, R J; MacQueen, D H; Mathews, S; Peterson, S R; Revelli, M A; Sanchez, L; Taffet, M J; Tate, P J; Ward, R

    2002-09-01

    The chapter summaries demonstrate the breadth of the environmental activities at LLNL. There are 14 chapters in this report: 3 chapters provide general information about the LLNL sites, regulatory activities, and the structure of environmental programs at LLNL; 10 chapters provide environmental monitoring measurements and analyses; and 1 chapter describes the quality assurance program and quality control activities that ensure the validity of the data. Brief descriptions of the contents of each of the individual chapters are presented here. Chapter 1, Introduction, describes the physical setting of the two LLNL sites. The description includes information about the topography, geology, and meteorology of the sites and clearly states the differences between them despite their proximity. Chapter 2, Compliance Summary, summarizes information about LLNL's substantial compliance activities, including compliance with the major federal, state, and local environmental initiatives. The major topics covered are the Clean Air Act, the Clean Water Act and related state programs, the Comprehensive Environmental Response, Compensation and Liability Act the Resource Conservation and Recovery Act and state and local hazardous waste regulations, the National Environmental Policy Act and the California Environmental Quality Act, the Endangered Species Act, the National Historic Preservation Act, and the Antiquities Act. Chapter 3, Environmental Program Information, describes the organization of LLNL's Environmental Protection Department and its divisions, giving the responsibilities of each organization for compliance and monitoring. Chapter 4, Air Effluent Monitoring, summarizes the facilities that have continuous air monitoring for their operations, including a summary of the results of the monitoring data collected for the sources. Chapter 5, Air Surveillance Monitoring, describes the purpose of the air particulate and tritium ambient air monitoring programs and provides

  6. Environmental Report 2001

    Energy Technology Data Exchange (ETDEWEB)

    Althouse, P E; Bertoldo, N A; Blake, R G; Brigdon, S L; Brown, R A; Campbell, C G; Christofferson, E; Clark, L M; Grayson, A R; Harrach, R J; MacQueen, D H; Mathews, S; Peterson, S R; Revelli, M A; Sanchez, L; Taffet, M J; Tate, P J; Ward, R

    2002-09-01

    The chapter summaries demonstrate the breadth of the environmental activities at LLNL. There are 14 chapters in this report: 3 chapters provide general information about the LLNL sites, regulatory activities, and the structure of environmental programs at LLNL; 10 chapters provide environmental monitoring measurements and analyses; and 1 chapter describes the quality assurance program and quality control activities that ensure the validity of the data. Brief descriptions of the contents of each of the individual chapters are presented here. Chapter 1, Introduction, describes the physical setting of the two LLNL sites. The description includes information about the topography, geology, and meteorology of the sites and clearly states the differences between them despite their proximity. Chapter 2, Compliance Summary, summarizes information about LLNL's substantial compliance activities, including compliance with the major federal, state, and local environmental initiatives. The major topics covered are the Clean Air Act, the Clean Water Act and related state programs, the Comprehensive Environmental Response, Compensation and Liability Act the Resource Conservation and Recovery Act and state and local hazardous waste regulations, the National Environmental Policy Act and the California Environmental Quality Act, the Endangered Species Act, the National Historic Preservation Act, and the Antiquities Act. Chapter 3, Environmental Program Information, describes the organization of LLNL's Environmental Protection Department and its divisions, giving the responsibilities of each organization for compliance and monitoring. Chapter 4, Air Effluent Monitoring, summarizes the facilities that have continuous air monitoring for their operations, including a summary of the results of the monitoring data collected for the sources. Chapter 5, Air Surveillance Monitoring, describes the purpose of the air particulate and tritium ambient air monitoring programs and provides

  7. EDITORIAL: Special issue containing contributions from the Sixth Biennial Research Congress of The Eye and the Chip Special issue containing contributions from the Sixth Biennial Research Congress of The Eye and the Chip

    Science.gov (United States)

    Hessburg, Philip C.

    2011-06-01

    Once again Journal of Neural Engineering is devoting an issue to the field of visual neuro-prosthetics. These papers were presented at the Sixth Biennial Research Congress of The Eye and the ChipA 13 DVD set of all presentations at The Eye and the Chip 2010 is available from Carolyn Barth PhD, Detroit Institute of Ophthalmology, 15415 E Jefferson, Grosse Pointe Park MI 48230, USA, 313.824.4710, clbarth@dioeyes.org, held in Detroit in September 2010. In the last decade this field has metamorphosed from 'in all probability a foolish and impractical dream' to a device approved for implantation in Europe and pending approval in the United States, and from a handful of serious efforts to several dozen on every continent save for Antartica. A recent comprehensive volume, Visual Prosthetics [1], edited by Gislin Dagnelie of Johns Hopkins University School of Medicine, focuses closely on this subject and is a tremendous addition to the literature. In his preface Dr Dagnelie notes as follows. 'In the year 2000, the Detroit Institute of Ophthalmology had the inspiration to foster a new collaboration among visual prosthesis researchers, clinicians, and workers in low vision rehabilitation by creating and sponsoring a series of biennial meetings called 'The Eye and the Chip'. Successful beyond expectations, these meetings have become the premier gathering place for researchers from all parts of the world and from very different backgrounds. Invited speakers are scientists who are advancing the field, yet the scale and atmosphere allow all researchers, patients, and the media to come and be updated about progress over the past two years. More perhaps than at other scientific meetings, where investigators tend to gather within disciplines, participants at The Eye and the Chip are challenged to be open-minded, learn about and critique each other's work, and return home with fresh ideas for interdisciplinary approaches. The interdisciplinary character of this book reflects that

  8. GENDER AND ETHNICITY DIFFERENCES IN TAX COMPLIANCE

    Directory of Open Access Journals (Sweden)

    Jeyapalan Kasipillai

    2006-01-01

    Full Text Available The purpose of this study is to investigate whether gender and ethnicity differences occur in relation to tax compliance attitude and behavior. Prior studies on tax compliance have focused little on gender as a predictor of compliance. In Malaysia, ethnic background of a taxpayer could be a major determinant of tax compliance. A personal interview approach is used to obtain information from taxpayers in urban towns. A t-test suggests that males and females were found to have similar compliant attitude. As for ethnicity, asimilar result was observed. Results of a regression analysis indicate that gender, academic qualification, and the person preparing tax return were statistically significant as determinants of non-compliant attitude. In terms of compliant behavior, a regression analysis revealed that "attitude towards non-compliance" and "receipt of cash income" were two significant explanatory variables of tax non-compliance behavior of understating income knowingly. The findings of this study are useful for policyimplications in identifying groups that require additional attention to increase voluntary tax compliance.

  9. Drug compliance in patients with systemic scleroderma.

    Science.gov (United States)

    Hromadkova, Lucie; Soukup, Tomas; Cermakova, Eva; Vlcek, Jiri

    2012-11-01

    Although drug compliance is a crucial component of treatment effectiveness in chronic diseases, it has never been evaluated in patients with systemic scleroderma. Therefore, the aim of this descriptive study was to determine the drug compliance rate in systemic scleroderma patients and to identify risk factors for noncompliance in these patients. A cross-sectional observational study was conducted. All patients with systemic scleroderma (n = 41) who visited a rheumatic center and signed an informed consent form were included. Data were obtained during structured interviews with patients and from medical records. The Compliance Questionnaire Rheumatology (CQR) was used to determine patient compliance. The relationships between compliance rate and demographic and clinical characteristics were examined. The mean CQR score was 75 %. Based on a dichotomous rating, only 42 % of the patients achieved a satisfactory compliance rate (≥80 %). No relationships between various demographic and clinical characteristics and CQR score expressed as continuous or dichotomous variables were found. This study represents the first evaluation of drug compliance in patients with systemic scleroderma. Many noncompliant patients were identified, but no common risk factors for noncompliance were discovered. The reasons for noncompliance seem to depend on the personal features of the patients.

  10. [Drug compliance of patients on anticoagulant treatment].

    Science.gov (United States)

    Gadó, Klára; Kocsis, Eszter; Zelkó, Romána; Hankó, Balázs; Kovácsné Balogh, Judit; Forczig, Mónika; Domján, Gyula

    2015-08-09

    Despite several therapeutic possibilities the morbidity and mortality of thromboembolic disorders remain high. Improving drug compliance - i. e. keeping up the doctor's prescriptions - may be an effective tool to reach better results. To improve patients' compliance, the risk factors of non-compliance should be recognized. Among these patients' fear of adverse effects of drugs, their lack of knowledge about their illness and medication, forgetfulness, and other social, economic factors may be the most important. Furthermore, adherence may be worsened when the patient feels that the decision has been made over his/her head. Sustained medical adherence is important because anticoagulation may be a life-long treatment. The new oral anticoagulants make the matter of compliance to be current. These new type of drugs do not need regular laboratory monitoring and, therefore, compliance cannot be strictly followed. There are several studies concerning drug compliance to anticoagulant medications. Improvement of adherence is based on regular patient education after reviewing the factors of non-compliance, which needs teamwork with important roles of doctors, pharmacists, dietetics and nurses. Careful and accurate work of the participants of primary care might be complemented by the activity of anticoagulant clinics.

  11. Environmental Management Assessment of the Fernald Environmental Management Project (FEMP)

    Energy Technology Data Exchange (ETDEWEB)

    1993-04-01

    This report documents the results of the Environmental Management Assessment performed at the Fernald Environmental Management Project (FEMP) in Fernald, Ohio. During this assessment, the activities conducted by the assessment team included review of internal documents and reports from previous audits and assessments; interviews with US Department of Energy (DOE) and FEMP contractor personnel; and inspection and observation of selected facilities and operations. The onsite portion of the assessment was conducted from March 15 through April 1, 1993, by DOE`s Office of Environmental Audit (EH-24) located within the Office of the Assistant Secretary for Environment, Safety, and Health (EH-1). EH-24 carries out independent assessments of DOE facilities and activities as part of the EH-1 Environment, Safety, and Health (ES&H) Oversight Audit Program. The EH-24 program is designed to evaluate the status of DOE facilities and activities with respect to compliance with Federal, state, and local environmental laws and regulations; compliance with DOE Orders, Guidance and Directives; conformance with accepted industry practices and standards of performance; and the status and adequacy of management systems developed to address environmental requirements. The Environmental Management Assessment of FEMP focused on the adequacy of environmental management systems. Further, in response to requests by the Office of Environmental Restoration and Waste Management (EM) and Fernald Field Office (FN), Quality Assurance and Environmental Radiation activities at FEMP were evaluated from a programmatic standpoint. The results of the evaluation of these areas are contained in the Environmental Protection Programs section in this report.

  12. Summary of the Hanford Site environmental report for calendar year 1996

    Energy Technology Data Exchange (ETDEWEB)

    Hanf, R.W.; O`Connor, G.P.; Dirkes, R.L. [eds.] [comps.

    1997-08-01

    This report summarizes the 420-page Hanford Site Environmental Report for Calendar Year 1996. The Hanford Site environmental report is prepared annually to summarize environmental data and information, describe environmental management performance, demonstrate the status of compliance with environmental regulations, and highlight major environmental programs and efforts. The summary is designed to briefly: describe the Hanford Site and its mission; summarize the status in 1996 of compliance with environmental regulations; describe environmental programs at the Hanford Site; discuss estimated radionuclide exposure to the public from 1996 Hanford Site activities; present information on effluent monitoring and environmental surveillance, including groundwater protection and monitoring; and discuss activities to ensure quality.

  13. Site environmental report for calendar year 1996

    Energy Technology Data Exchange (ETDEWEB)

    NONE

    1997-08-01

    The purpose of this Site Environmental Report (SER) is to characterize site environmental management performance, confirm compliance with environmental standards and requirements, and highlight significant programs and efforts to the US Department of Energy (DOE) Strategic Petroleum Reserve (SPR). The SER, provided annually in accordance with DOE Order 5400.1, serves the public by summarizing monitoring data collected to assess how the SPR impacts the environment. The SER provides a balanced synopsis of non-radiological monitoring and regulatory compliance data and affirms that the SPR has been operating within acceptable regulatory limits.

  14. Nevada Test Site Environmental Report 2005

    Energy Technology Data Exchange (ETDEWEB)

    Cathy A. Wills

    2006-10-01

    The Nevada Test Site Environmental Report 2005 (NTSER) was prepared to meet the information needs of the public and the requirements and guidelines of the U.S. Department of Energy (DOE) for annual site environmental reports. Its purpose is to (1) report compliance status with environmental standards and requirements, (2) present results of environmental monitoring of radiological and nonradiological effluents, (3) report estimated radiological doses to the public from releases of radioactive material, (4) summarize environmental incidents of noncompliance and actions taken in response to them, (5) describe the NTS Environmental Management System and characterize its performance, and (6) highlight significant environmental programs and efforts.

  15. [Compliance of treatment in glaucoma patients].

    Science.gov (United States)

    Banc, Ana; Stan, Cristina

    2013-01-01

    To evaluate the treatment compliance level of glaucoma patients and the correlation between the compliance level and a series of patient's demographic characteristics. We conducted an observational study in which we studied 100 glaucoma patients who answered the questions we included into a questionnaire. We defined and calculated a broad compliance score and a narrow score, and we investigated the connection between the first score and age, gender, demographic location (urban versus rural), education level, current occupation and duration of disease respectively. The mean of the broad compliance score was 9.64 +/- 1.72, which represents 80% of the maximum value of the score, and the mean of the narrow compliance score was 4.73 +/- 1.12, (78% of the maximum value). The correlation coefficient between score and age was z = -0.09 (p value = 0.19), the Z value for the evaluation of the connection between score and gender was -1.16 (p value = 0.24), and for the connection between compliance score and demographic location Z value = -2.42 (p value = 0.01). Chi-square value for the evaluation of the relation between the score and education level was 14.66 (p value = 0.001), and for the current occupation Chi-square value = 3.47 (p value = 0.06). The correlation coefficient between score and disease duration was tau = 0.09 (p value = 0.23). According to the answers the patients gave, we identified the parameters that require more attention in the ophthalmologist - glaucoma patient communication: genetic transmission of glaucoma, treatment's side effects, number of visits to the ophthalmologist, awareness of the life-long gradului period of treatment. In this study, the compliance level of glaucoma patients is relatively high and we observe a correlation between the compliance level and demographic location, and between the compliance level and patient's education level respectively.,

  16. Motivation and compliance with intraoral elastics.

    Science.gov (United States)

    Veeroo, Helen J; Cunningham, Susan J; Newton, Jonathon Timothy; Travess, Helen C

    2014-07-01

    Intraoral elastics are commonly used in orthodontics and require regular changing to be effective. Unfortunately, poor compliance with elastics is often encountered, especially in adolescents. Intention for an action and its implementation can be improved using "if-then" plans that spell out when, where, and how a set goal, such as elastic wear, can be put into action. Our aim was to determine the effect of if-then plans on compliance with elastics. To identify common barriers to compliance with recommendations concerning elastic wear, semistructured interviews were carried out with 14 adolescent orthodontic patients wearing intraoral elastics full time. Emerging themes were used to develop if-then plans to improve compliance with elastic wear. A prospective pilot study assessed the effectiveness of if-then planning aimed at overcoming the identified barriers on compliance with elastic wear. Twelve participants were randomized equally into study and control groups; the study group received information about if-then planning. The participants were asked to collect used elastics, and counts of these were used to assess compliance. A wide range of motivational and volitional factors were described by the interviewed participants, including the perceived benefits of elastics, cues to remember, pain, eating, social situations, sports, loss of elastics, and breakages. Compliance with elastic wear was highly variable among patients. The study group returned more used elastics, suggesting increased compliance, but the difference was not significant. The use of if-then plans might improve compliance with elastic wear when compared with routine clinical instructions. Copyright © 2014 American Association of Orthodontists. Published by Mosby, Inc. All rights reserved.

  17. How the Affordable Care Act Has Improved Americans’ Ability to Buy Health Insurance on Their Own: Findings from the Commonwealth Fund Biennial Health Insurance Survey, 2016.

    Science.gov (United States)

    Collins, Sara R; Gunja, Munira Z; Doty, Michelle M; Beutel, Sophie

    2017-01-01

    Issue: Since 2001, long before the passage of the Affordable Care Act (ACA), the Commonwealth Fund Biennial Health Insurance Survey has examined health coverage and consumers’ experiences buying insurance and using health care. Goals: To examine long-term trends and to make comparisons before and after passage of health reform. Methods: Analysis of the Commonwealth Fund Biennial Health Insurance Survey, 2016. Findings and Conclusions: There have been dramatic improvements in people’s ability to buy health plans on their own following the passage of the ACA. For adults with family incomes less than $48,500, uninsured rates dropped about 17 percentage points below their 2010 peak. Lower-income whites, blacks, and Latinos have experienced drops this large, though Latinos are uninsured at higher rates. Among working-age adults who had shopped for plans in the individual market and ACA marketplaces over the prior three years, the percentage who reported it was very difficult to find affordable plans fell by nearly half from 2010, prior to the ACA reforms, to 2016. Coverage gains are helping working-age Americans get the care they need: the number of adults who reported problems getting needed health care and filling prescriptions because of costs fell from a high of 80 million in 2012 to an estimated 63 million in 2016.

  18. 2005 SITE ENVIRONMENTAL REPORT

    Energy Technology Data Exchange (ETDEWEB)

    BROOKHAVEN NATIONAL LABORATORY

    2006-08-29

    Each year, Brookhaven National Laboratory (BNL) prepares an annual Site Environmental Report (SER) in accordance with DOE Order 231.1A, Environment, Safety and Health Reporting of the U.S. Department of Energy (DOE). The report is written to inform the public, regulators, employees, and other stakeholders of BNL's environmental performance during the calendar year in review. The SER summarizes environmental data; environmental management performance; compliance with applicable DOE, federal, state, and local regulations; and compliance, restoration, and surveillance monitoring program performance. BNL has prepared annual SERs since 1971 and has documented nearly all of its environmental history since the Laboratory's inception in 1947. The report is available in print and as a downloadable file on the BNL web page at http://www.bnl.gov/ewms/ser/. A summary of the SER is also prepared each year to provide a general overview of the report, and is distributed with a CD of the full report.

  19. Information security policy development for compliance

    CERN Document Server

    Williams, Barry L

    2013-01-01

    Although compliance standards can be helpful guides to writing comprehensive security policies, many of the standards state the same requirements in slightly different ways. Information Security Policy Development for Compliance: ISO/IEC 27001, NIST SP 800-53, HIPAA Standard, PCI DSS V2.0, and AUP V5.0 provides a simplified way to write policies that meet the major regulatory requirements, without having to manually look up each and every control. Explaining how to write policy statements that address multiple compliance standards and regulatory requirements, the book will he

  20. Touch, compliance, and awareness of tactile contact.

    Science.gov (United States)

    Joule, Robert-Vincent; Guéguen, Nicolas

    2007-04-01

    Many experimental studies have shown that touch increases compliance with a request; however, the difference between the effect of touch on compliance between participants who notice and those who do not notice such contact remains in question. An experiment was conducted in which a female confederate asked 368 female smokers to give her a cigarette. In the Touch condition, when making her request, the confederate slightly touched the participant on her forearm. Analysis showed the touch was associated with significantly higher compliance to the request, and a difference was evident in the Touch condition between subjects who had noticed the tactile contact and those who had not.

  1. An analysis of aircrew procedural compliance

    Science.gov (United States)

    Schofield, J. E.; Giffin, W. C.

    1981-01-01

    This research examines the relationships between aircrew compliance with procedures and operator errors. The data for this analysis were generated by reexamination of a 1976 experiment in full mission simulation conducted by Dr. H. P. Ruffell Smith (1979) for the NASA-Ames Research Center. The character of individual operators, the chemistry of crew composition, and complex aspects of the operational environment affected procedural compliance by crew members. Associations between enumerated operator errors and several objective indicators of crew coordination were investigated. The correspondence among high operator error counts and infrequent compliance with specific crew coordination requirements was most notable when copilots were accountable for control of flight parameters.

  2. Savannah River Site Environmental report for 2012

    Energy Technology Data Exchange (ETDEWEB)

    Griffith, Michael; Jannik, Timothy; Cauthen, Kim; Bryant, Tracy; Coward, Lori; Eddy, Teresa; Vangelas, Karen; O' Quinn, Sadika; Meyer, Amy; Ackerman, Jana D.; Adams, John; Fanning, Greta; Thompson, Martha; Farfan, Eduardo B.; Dixon, Kenneth L.; Kemmerlin, Robert; Millings, Ted; Maxwell, Sherrod; Blas, Susan; Looney, Brian; Jackson, Dennis; Paller, Michael; Wabbersen, William

    2013-09-12

    This report is an overview of effluent monitoring and environmental surveillance activities conducted on and in the vicinity of SRS from January 1 through December 31, 2012 - including the Site's performance against applicable standards and requirements. Details are provided on major programs such as the Environmental Management System (EMS) and permit compliance.

  3. Programmer`s manual for CAMCON: Compliance Assessment Methodology CONtroller

    Energy Technology Data Exchange (ETDEWEB)

    Rechard, R.P. [Sandia National Labs., Albuquerque, NM (United States); Gilkey, A.P.; Rudeen, D.K.; Byle, K.A. [New Mexico Engineering Research Inst., Albuquerque, NM (United States); Iuzzolino, H.J. [Geo-Centers, Inc., Albuquerque, NM (United States)

    1993-05-01

    CAMCON, the Compliance Assessment Methodology CONtroller, is an analysis system that assists in assessing the compliance of the Waste Isolation Pilot Plant (WIPP) with applicable long-term regulations of the US Environmental Protection Agency, including Subpart B of the Environmental Standards for the Management and Disposal of spent Nuclear Fuel, High-Level and Transuranic Radioactive Wastes, 40 CFR 191 and 40CFR268.6, which is the portion of the Land Disposal Restrictions implementing the Resource, Conservative, and Recovery Act of 1976, as amended that states the conditions for disposal of hazardous chemical wastes. This manual provides an architectural overview of the CAMCON system. Furthermore this manual presents guidelines and presents suggestions for programmers developing the many different types of software necessary to investigate various events and physical processes of the WIPP. These guidelines include user interface requirements, minimum quality assurance requirements, coding style suggestions, and the use of numerous software libraries developed specifically for or adapted for the CAMCON system.

  4. Site environmental report for 1996

    Energy Technology Data Exchange (ETDEWEB)

    Holland, R.C.

    1997-08-01

    To help verify effective protection of public safety and preservation of the environment, Sandia National Laboratories (SNL)/California maintains an extensive, ongoing environmental monitoring program. This program monitors all significant airborne and liquid effluents and the environment at the SNL/California site perimeter. Lawrence Livermore National Laboratory (LLNL) performs off-site environmental monitoring for both sites. These monitoring efforts ensure that emission controls are effective in preventing contamination of the environment. As part of SNL/California`s Environmental Monitoring Program, an environmental surveillance system measures the possible presence of radioactive and hazardous materials in ambient air, surface water, groundwater, sewage, soil, vegetation, and locally produced food-stuffs. The program also includes an extensive environmental dosimetry program, which measures external radiation levels around the Livermore site and nearby vicinity. Each year, the results of the Environmental Monitoring Program are published in this report, the Site Environmental Report. This executive summary focuses on impacts to the environment and estimated radiation doses to the public from site emissions. Chapter 3, {open_quotes}Compliance Summary,{close_quotes} reviews the site`s various environmental protection activities and compliance status, with applicable environmental regulations. The effluent monitoring and environmental surveillance results for 1996 show that SNL/California operations had no harmful effects on the environment or the public. 37 figs., 12 tabs.

  5. Site environmental report for 1996

    Energy Technology Data Exchange (ETDEWEB)

    Holland, R.C.

    1997-08-01

    To help verify effective protection of public safety and preservation of the environment, Sandia National Laboratories (SNL)/California maintains an extensive, ongoing environmental monitoring program. This program monitors all significant airborne and liquid effluents and the environment at the SNL/California site perimeter. Lawrence Livermore National Laboratory (LLNL) performs off-site environmental monitoring for both sites. These monitoring efforts ensure that emission controls are effective in preventing contamination of the environment. As part of SNL/California`s Environmental Monitoring Program, an environmental surveillance system measures the possible presence of radioactive and hazardous materials in ambient air, surface water, groundwater, sewage, soil, vegetation, and locally produced food-stuffs. The program also includes an extensive environmental dosimetry program, which measures external radiation levels around the Livermore site and nearby vicinity. Each year, the results of the Environmental Monitoring Program are published in this report, the Site Environmental Report. This executive summary focuses on impacts to the environment and estimated radiation doses to the public from site emissions. Chapter 3, {open_quotes}Compliance Summary,{close_quotes} reviews the site`s various environmental protection activities and compliance status, with applicable environmental regulations. The effluent monitoring and environmental surveillance results for 1996 show that SNL/California operations had no harmful effects on the environment or the public. 37 figs., 12 tabs.

  6. Idaho CERCLA Disposal Facility Complex Compliance Demonstration for DOE Order 435.1

    Energy Technology Data Exchange (ETDEWEB)

    Simonds, J.

    2007-11-06

    This compliance demonstration document provides an analysis of the Idaho CERCLA Disposal Facility (ICDF) Complex compliance with DOE Order 435.1. The ICDF Complex includes the disposal facility (landfill), evaporation pond, administration facility, weigh scale, and various staging/storage areas. These facilities were designed and constructed to be compliant with DOE Order 435.1, Resource Conservation and Recovery act Subtitle C, and Toxic Substances Control Act polychlorinated biphenyl design and construction standards. The ICDF Complex is designated as the Idaho National Laboratory (INL) facility for the receipt, staging/storage, treatment, and disposal of INL Comprehensive Environmental Response, Compensation and Liability Act (CERCLA) waste streams.

  7. Pacific Northwest National Laboratory Annual Site Environmental Report for Calendar Year 2014

    Energy Technology Data Exchange (ETDEWEB)

    Duncan, Joanne P.; Sackschewsky, Michael R.; Tilden, Harold T.; Su-Coker, Jennifer; Mendez, Jennifer L.; Ballinger, Marcel Y.; Fritz, Brad G.; Stoetzel, Gregory A.; Barnett, J. Matthew; Lowry, Kami L.; Moon, Thomas W.; Becker, James M.; Chamness, Michele A.

    2015-09-28

    This report provides a synopsis of ongoing environmental management performance and compliance activities conducted during 2014, meeting the requirements of DOE Order 231.1B, Environmental, safety and health reporting.

  8. Biennial 911 / Heie Treier

    Index Scriptorium Estoniae

    Treier, Heie, 1963-

    2006-01-01

    Emergency biennale, rahvusvaheline rändnäitus Tšetšeenia toetuseks grupinäituse "Vägivald ja propaganda" raames Tallinna Kunstihoones. Kuraator Evelyne Jouanno. Eestist liitusid biennaaliga Neeme Külm, Marko Laimre, Marko Mäetamm ja Jüri Ojaver

  9. Biennial 911 / Heie Treier

    Index Scriptorium Estoniae

    Treier, Heie, 1963-

    2006-01-01

    Emergency biennale, rahvusvaheline rändnäitus Tšetšeenia toetuseks grupinäituse "Vägivald ja propaganda" raames Tallinna Kunstihoones. Kuraator Evelyne Jouanno. Eestist liitusid biennaaliga Neeme Külm, Marko Laimre, Marko Mäetamm ja Jüri Ojaver

  10. Local Government Internal Audit Compliance

    Directory of Open Access Journals (Sweden)

    Greg Jones

    2015-09-01

    Full Text Available Local government councils (LGC rely on a number of funding sources including state and federal governments as well as their community constituents to enable them to provide a range of public services. Given the constraints on these funding sources councils need to have in place a range of strategies and policies capable of providing good governance and must appropriately discharge their financial accountabilities. To assist LGC with meeting their governance and accountability obligations they often seek guidance from their key stakeholders. For example, in the Australian State of New South Wales (NSW, the Office of Local Government has developed a set of guidelines, the Internal Audit Guidelines. In 2010 the NSW Office of Local Government issued revised guidelines emphasising that an internal audit committee is an essential component of good governance. In addition, the guidelines explained that to improve the governance and accountability of the councils, these committees should be composed of a majority of independent members. To maintain committee independence the guidelines indicated that the Mayor should not be a member of the committee. However these are only guidelines, not legislated requirements and as such compliance with the guidelines, before they were revised, has been demonstrated to be quite low (Jones & Bowrey 2013. This study, based on a review of NSW Local Government Councils’ 2012/2013 reports, including Annual Reportsrelation to internal audit committees, to determine if the guidelines are effective in improving local government council governance.

  11. Accommodation and Compliance Series: Employees with Arthritis

    Science.gov (United States)

    ... Resources Home | Accommodation and Compliance Series: Employees with Arthritis By Beth Loy, Ph.D. Preface Introduction Information ... SOAR) at http://AskJAN.org/soar . Information about Arthritis How prevalent is arthritis? An estimated 50 million ...

  12. Consolidated Audit And Compliance System (CACS)

    Data.gov (United States)

    US Agency for International Development — Consolidated Audit and Compliance System: is an audit findings management and reporting system. CACS is an implementation of the Agency Secure Image and Storage...

  13. Iowa Compliance Implementation and Evaluation Guide

    Energy Technology Data Exchange (ETDEWEB)

    Cole, Pamala C.

    2012-09-04

    This Guide is designed to assist state and local code jurisdictions in achieving statewide compliance with the 2009 International Energy Conservation Code (IECC) for residential buildings and ANSI/ASHRAE/IESNA Standard 90.1-2007 for commercial buildings.

  14. Nevada Compliance Implementation and Evaluation Guide

    Energy Technology Data Exchange (ETDEWEB)

    Cole, Pamala C.

    2012-08-30

    This Guide is designed to assist state and local code jurisdictions in achieving statewide compliance with the 2009 International Energy Conservation Code (IECC) for residential buildings and ANSI/ASHRAE/IESNA Standard 90.1-2007 for commercial buildings.

  15. Utah Compliance Implementation and Evaluation Guide

    Energy Technology Data Exchange (ETDEWEB)

    Cole, Pamala C.

    2012-08-30

    This Guide is designed to assist state and local code jurisdictions in achieving statewide compliance with the 2009 International Energy Conservation Code (IECC) for residential buildings and ANSI/ASHRAE/IESNA Standard 90.1-2007 for commercial buildings.

  16. 7 CFR 15.5 - Compliance.

    Science.gov (United States)

    2010-01-01

    ... Department of Agriculture-Effectuation of Title VI of the Civil Rights Act of 1964 § 15.5 Compliance. (a... racial and ethnic data showing the extent to which members of minority groups are beneficiaries...

  17. Information communication Technology (ICT) compliance among ...

    African Journals Online (AJOL)

    Information communication Technology (ICT) compliance among ... The one with very strong effect is the high cost of hardware and software including fear of virus ... requisite education and upgrade themselves through training programme to ...

  18. 41 CFR 60-2.35 - Compliance status.

    Science.gov (United States)

    2010-07-01

    ... 2-AFFIRMATIVE ACTION PROGRAMS Miscellaneous § 60-2.35 Compliance status. No contractor's compliance... 11246 and the regulations in this chapter. Each contractor's compliance with its affirmative action... 41 Public Contracts and Property Management 1 2010-07-01 2010-07-01 true Compliance status....

  19. 42 CFR 93.413 - HHS compliance actions.

    Science.gov (United States)

    2010-10-01

    ... 42 Public Health 1 2010-10-01 2010-10-01 false HHS compliance actions. 93.413 Section 93.413... Compliance Issues § 93.413 HHS compliance actions. (a) An institution's failure to comply with its assurance... requirements of this part, HHS may take some or all of the following compliance actions: (1) Issue a letter...

  20. Compliance and patching and atropine amblyopia treatments.

    Science.gov (United States)

    Wang, Jingyun

    2015-09-01

    In the past 20 years, there has been a great advancement in knowledge pertaining to compliance with amblyopia treatments. The occlusion dose monitor introduced quantitative monitoring methods in patching, which sparked our initial understanding of the dose-response relationship for patching amblyopia treatment. This review focuses on current compliance knowledge and the impact it has on patching and atropine amblyopia treatment. Copyright © 2015 Elsevier Ltd. All rights reserved.

  1. Compliance with occlusion therapy for childhood amblyopia.

    Science.gov (United States)

    Wallace, Michael P; Stewart, Catherine E; Moseley, Merrick J; Stephens, David A; Fielder, Alistair R

    2013-09-17

    Explore compliance with occlusion treatment of amblyopia in the Monitored and Randomized Occlusion Treatment of Amblyopia Studies (MOTAS and ROTAS), using objective monitoring. Both studies had a three-phase protocol: initial assessment, refractive adaptation, and occlusion. In the occlusion phase, participants were instructed to dose for 6 hours/day (MOTAS) or randomized to 6 or 12 hour/day (ROTAS). Dose was monitored continuously using an occlusion dose monitor (ODM). One hundred and fifty-two patients (71 male, 81 female; 122 Caucasian, 30 non-Caucasian) of mean ± SD age 68 ± 18 months participated. Amblyopia was defined as an interocular acuity difference of at least 0.1 logMAR and was associated with anisometropia in 50, strabismus in 44, and both (mixed) in 58. Median duration of occlusion was 99 days (interquartile range 72 days). Mean compliance was 44%, mean proportion of days with no patch worn was 42%. Compliance was lower (39%) on weekends compared with weekdays (46%, P = 0.04), as was the likelihood of dosing at all (52% vs. 60%, P = 0.028). Compliance was lower when attendance was less frequent (P amblyopia type, and severity were not associated with compliance. Mixture modeling suggested three subpopulations of patch day doses: less than 30 minutes; doses that achieve 30% to 80% compliance; and doses that achieve around 100% compliance. This study shows that compliance with patching treatment averages less than 50% and is influenced by several factors. A greater understanding of these influences should improve treatment outcome. (ClinicalTrials.gov number, NCT00274664).

  2. THE ROLE OF FAIRNESS IN TAX COMPLIANCE

    OpenAIRE

    Verboon, Peter; Goslinga, Sjoerd

    2010-01-01

    The purpose of this paper is to study the relation between fairness considerations and tax compliance attitudes and intentions. Data from a large panel survey among small business owners in the Netherlands have been analyzed. Besides a number of background and control variables the questionnaire contained measures of personal norms, procedural and distributive justice, tax compliance attitudes and intentions to comply with tax rules. Results support the hypothesis that personal norms and just...

  3. 40 CFR 156.159 - Compliance date.

    Science.gov (United States)

    2010-07-01

    ... 40 Protection of Environment 23 2010-07-01 2010-07-01 false Compliance date. 156.159 Section 156... REQUIREMENTS FOR PESTICIDES AND DEVICES Container Labeling § 156.159 Compliance date. Any pesticide product...(d)(7), 156.10(f), 156.10(i)(2)(ix), 156.140, 156.144, 156.146, and 156.156. Effective Date Note:...

  4. Savannah River Site environmental report for 1991. [Contains Glossary

    Energy Technology Data Exchange (ETDEWEB)

    Arnett, M.W.; Karapatakis, L.K.; Mamatey, A.R.; Todd, J.L.

    1991-01-01

    This report describes environmental activities conducted on and in the vicinity of the Savannah River Site (SRS) in Aiken, S.C., from Jan. 1 to Dec. 31, 1991, with an update on compliance activities through April 1, 1992. The report is a single volume with a separate summary pamphlet highlighting the major findings for 1991. The report is divided into an executive summary and 14 chapters containing information on environmental compliance issues, environmental monitoring methods and programs, and environmental research activities for 1991, as well as historical data from previous years. Analytical results, figures, charts, and data tables relevant to the environmental monitoring program for 1991 at SRS are included.

  5. Third-party biller compliance guidance emphasizes risk awareness.

    Science.gov (United States)

    Saner, R J

    1999-03-01

    The voluntary compliance guidance for third-party billing companies released by the HHS Office of Inspector General (OIG) in December 1998, like the OIG's previously released guidance directed at hospitals, home health agencies, and clinical laboratories, identifies seven minimum elements for an effective corporate compliance program: written compliance policies, designation of a compliance officer, ongoing training, open lines of communication, guidelines to ensure the enforcement of compliance standards, internal monitoring and auditing of compliance activity, and procedures to respond to and correct errors. Three areas of concern for third-party billing companies are emphasized in the new guidance document: compliance risk, claims documentation, and disclosure of suspected misconduct or fraud.

  6. Compliance with RSV prophylaxis: Global physicians’ perspectives

    Directory of Open Access Journals (Sweden)

    Kari S Anderson

    2009-07-01

    Full Text Available Kari S Anderson, Victoria M Mullally, Linda M Fredrick, Andrew L CampbellAbbott Laboratories, Abbott Park, IL, USAAbstract: Respiratory syncytial virus (RSV is a significant cause of morbidity in high-risk infants. Palivizumab is proven to prevent serious RSV disease, but compliance with prophylaxis (monthly doses during the RSV season is essential to ensure protection. We invited 453 pediatricians to participate in a survey to identify their perspectives of barriers to compliance and interventions to improve compliance with palivizumab prophylaxis schedules. One hundred physicians from five continents completed the survey, identifying caregiver inconvenience, distance to clinic, cost of prophylaxis, and lack of understanding of the severity of RSV as the most common reasons for noncompliance. They recommended provision of educational materials about RSV, reminders from hospital or clinic, and administration of prophylaxis at home to increase compliance. Globally, physicians recognize several obstacles to prophylaxis compliance. This survey suggests that focused proactive interventions such as empowering caregivers with educational materials and reducing caregiver inconvenience may be instrumental to increase compliance.Keywords: medication adherence, respiratory syncytial virus infections, infant, premature, immunization, passive

  7. Photoacoustic tomography of vascular compliance in humans

    Science.gov (United States)

    Hai, Pengfei; Zhou, Yong; Liang, Jinyang; Li, Chiye; Wang, Lihong V.

    2015-12-01

    Characterization of blood vessel elastic properties can help in detecting thrombosis and preventing life-threatening conditions such as acute myocardial infarction or stroke. Vascular elastic photoacoustic tomography (VE-PAT) is proposed to measure blood vessel compliance in humans. Implemented on a linear-array-based photoacoustic computed tomography system, VE-PAT can quantify blood vessel compliance changes due to simulated thrombosis and occlusion. The feasibility of the VE-PAT system was first demonstrated by measuring the strains under uniaxial loading in perfused blood vessel phantoms and quantifying their compliance changes due to the simulated thrombosis. The VE-PAT system detected a decrease in the compliances of blood vessel phantoms with simulated thrombosis, which was validated by a standard compression test. The VE-PAT system was then applied to assess blood vessel compliance in a human subject. Experimental results showed a decrease in compliance when an occlusion occurred downstream from the measurement point in the blood vessels, demonstrating VE-PAT's potential for clinical thrombosis detection.

  8. Environmental surveillance at Los Alamos during 1991. Environmental protection group

    Energy Technology Data Exchange (ETDEWEB)

    Dewart, J.; Kohen, K.L. [comps.

    1993-08-01

    This report describes the environmental surveillance program conducted by Los Alamos National Laboratory during 1991. Routine monitoring for radiation and for radioactive and chemical materials is conducted on the Laboratory site as well as in the surrounding region. Monitoring results are used to determine compliance with appropriate standards and to permit early identification of potentially undesirable trends. Results and interpretation of data for 1991 cover external penetrating radiation; quantities of airborne emissions and effluents; concentrations of chemicals and radionuclides in ambient air, surface waters and groundwaters, municipal water supply, soils and sediments, and foodstuffs; and environmental compliance. Comparisons with appropriate standards, regulations, and background levels provide the basis for concluding that environmental effects from Laboratory operations are small and do not pose a threat to the public, Laboratory employees, or the environment.

  9. U.S. Environmental Protection Agency's Enterprise Data Inventory

    Data.gov (United States)

    U.S. Environmental Protection Agency — Complete Enterprise Dataset Inventory (EDI) listing all agency data assets for compliance with federal Project Open Data mandate (https://project-open-data.cio.gov/).

  10. Pacific Northwest National Laboratory Site Environmental Report for Calendar Year 2011

    Energy Technology Data Exchange (ETDEWEB)

    Duncan, Joanne P.; Fritz, Brad G.; Tilden, Harold T.; Stoetzel, Gregory A.; Stegen, Amanda; Barnett, J. Matthew; Su-Coker, Jennifer; Moon, Thomas W.; Ballinger, Marcel Y.; Dirkes, Roger L.; Opitz, Brian E.

    2012-09-01

    The PNNL Site Environmental Report for Calendar Year 2011 was prepared pursuant to the requirements of Department of Energy (DOE) Order 231.1B, "Environment, Safety and Health Reporting" to provide a synopsis of calendar year 2011 information related to environmental management performance and compliance efforts. It summarizes site compliance with federal, state, and local environmental laws, regulations, policies, directives, permits, and orders and environmental management performance.

  11. Pacific Northwest National Laboratory Annual Site Environmental Report for Calendar Year 2012

    Energy Technology Data Exchange (ETDEWEB)

    Duncan, Joanne P.; Ballinger, Marcel Y.; Fritz, Brad G.; Tilden, Harold T.; Stoetzel, Gregory A.; Barnett, J. Matthew; Su-Coker, Jennifer; Stegen, Amanda; Moon, Thomas W.; Becker, James M.; Raney, Elizabeth A.; Chamness, Michele A.; Mendez, Keith M.

    2013-09-01

    The PNNL Annual Site Environmental Report for Calendar Year 2012 was prepared pursuant to the requirements of Department of Energy (DOE) Order 231.1B, "Environment, Safety and Health Reporting" to provide a synopsis of calendar year 2012 information related to environmental management performance and compliance efforts. It summarizes site compliance with federal, state, and local environmental laws, regulations, policies, directives, permits, and orders and environmental management performance.

  12. A General Framework for Measuring VAT Compliance Rates

    OpenAIRE

    J. A. Giesecke; Tran Hoang Nhi

    2010-01-01

    Summary measures of VAT compliance rates are valuable for identifying problem areas in VAT implementation. They are also essential for meaningful cross-country and cross-time comparisons of VAT compliance. We present a comprehensive and general framework for calculating VAT compliance rates at both the economy-wide and detailed sectoral levels. Unlike existing measures of VAT compliance, our framework isolates a compliance measure from the effects on VAT receipts of detailed features of VAT s...

  13. AFMLTA 19th Biennial Conference Horwood Address: Accomplished Teaching of Languages and Cultures Doesn't Happen by Chance: Reflective Journal Entries of a "Returnee" to the Learner Seat

    Science.gov (United States)

    Harbon, Lesley

    2014-01-01

    The following is the text of the Horwood Address delivered by Associate Professor Lesley Harbon from the University of Sydney at the AFMLTA Biennial Conference in Canberra 2013. The focus of the Address is accomplished teaching of languages and cultures, known to us all through the AFMLTA's work on Professional Standards published in 2005.…

  14. Compliance and treatment satisfaction of post menopausal women treated for osteoporosis. Compliance with osteoporosis treatment

    Directory of Open Access Journals (Sweden)

    Huas Dominique

    2010-08-01

    Full Text Available Abstract Background Adherence to anti-osteoporosis treatments is poor, exposing treated women to increased fracture risk. Determinants of poor adherence are poorly understood. The study aims to determine physician- and patient- rated treatment compliance with osteoporosis treatments and to evaluate factors influencing compliance. Methods This was an observational, cross-sectional pharmacoepidemiological study with a randomly-selected sample of 420 GPs, 154 rheumatologists and 110 gynaecologists practicing in France. Investigators included post-menopausal women with a diagnosis of osteoporosis and a treatment initiated in the previous six months. Investigators completed a questionnaire on clinical features, treatments and medical history, and on patient compliance. Patients completed a questionnaire on sociodemographic features, lifestyle, attitudes and knowledge about osteoporosis, treatment compliance, treatment satisfaction and quality of life. Treatment compliance was evaluated with the Morisky Medication-taking Adherence Scale. Variables collected in the questionnaires were evaluated for association with compliance using multivariate logistic regression analysis. Results 785 women were evaluated. Physicians considered 95.4% of the sample to be compliant, but only 65.5% of women considered themselves compliant. The correlation between patient and physician perceptions of compliance was low (κ: 0.11 [95% CI: 0.06 to 0.16]. Patient-rated compliance was highest for monthly bisphosphonates (79.7% and lowest for hormone substitution therapy (50.0%. Six variables were associated with compliance: treatment administration frequency, perceptions of long-term treatment acceptability, perceptions of health consequences of osteoporosis, perceptions of knowledge about osteoporosis, exercise and mental quality of life. Conclusion Compliance to anti-osteoporosis treatments is poor. Reduction of dosing regimen frequency and patient education may be useful

  15. Annual Site Environmental Report of the Lawrence Berkeley Laboratory, calendar year 1991

    Energy Technology Data Exchange (ETDEWEB)

    Pauer, R.O.; Schleimer, G.E.; Javendel, I. (eds.)

    1992-05-01

    This Annual Site Environmental Report (ASER) summarizes LBL environmental activities in calendar year (CY) 1991. The purpose of this Report is to present summary environmental data in order to characterize site environmental management performance, confirm compliance with environmental standards and requirements, and highlight significant programs and efforts.

  16. Environmental report for Pantex Plant, 1993

    Energy Technology Data Exchange (ETDEWEB)

    1994-06-01

    This report presents summaries and interpretations of the environmental monitoring data collected during 1993 at Pantex Plant. Additionally, it outlines site environmental management performance, summarizes compliance with applicable environmental regulations, and describes significant programs and achievements. Environmental monitoring is composed of two principal collection and analysis activities for radiological and nonradiological constituents: (1) effluent monitoring involving liquid and airborne effluents to characterize and quantify releases and (2) environmental surveillance involving water, soil, vegetation, and biota and measurement of external radiation to characterize environmental impacts of Pantex Plant. Data are used to assess impacts of operations to the public and the environment and to demonstrate compliance with applicable standards for both radiological and nonradiological contaminants. In 1993 more than 270 onsite and offsite locations were monitored regularly with 4000 samples collected and analyzed. Data from a location at the US Department of Agriculture Bushland Agricultural Research Service and historical data are also presented for reference.

  17. Reducing fluxes of faecal indicator compliance parameters to bathing waters from diffuse agricultural sources: the Brighouse Bay study, Scotland.

    Science.gov (United States)

    Kay, D; Aitken, M; Crowther, J; Dickson, I; Edwards, A C; Francis, C; Hopkins, M; Jeffrey, W; Kay, C; McDonald, A T; McDonald, D; Stapleton, C M; Watkins, J; Wilkinson, J; Wyer, M D

    2007-05-01

    The European Water Framework Directive requires the integrated management of point and diffuse pollution to achieve 'good' water quality in 'protected areas'. These include bathing waters, which are regulated using faecal indicator organisms as compliance parameters. Thus, for the first time, European regulators are faced with the control of faecal indicator fluxes from agricultural sources where these impact on bathing water compliance locations. Concurrently, reforms to the European Union (EU) Common Agricultural Policy offer scope for supporting on-farm measures producing environmental benefits through the new 'single farm payments' and the concept of 'cross-compliance'. This paper reports the first UK study involving remedial measures, principally stream bank fencing, designed to reduce faecal indicator fluxes at the catchment scale. Considerable reduction in faecal indicator flux was observed, but this was insufficient to ensure bathing water compliance with either Directive 76/160/EEC standards or new health-evidence-based criteria proposed by WHO and the European Commission.

  18. WELDON SPRING SITE ENVIRONMENTAL REPORT FOR CALENDAR YEAR 2002

    Energy Technology Data Exchange (ETDEWEB)

    WASHINGTON GROUP INTERNATIONAL AND JACOBS ENGINEERING GROUP

    2003-05-01

    This annual report presents a summary of data from the environmental monitoring program, to characterize trends and environmental conditions at the site, and to confirm compliance with environmental and health protection standards and requirements. This report also presents the status of remedial activities and the results of monitoring activities to assess their impacts on the public and environment.

  19. Weldon Spring Site Environmental Report For Calendar Year 2001

    Energy Technology Data Exchange (ETDEWEB)

    none,

    2002-07-01

    This annual report presents a summary of data from the environmental monitoring program, to characterize trends and environmental conditions at the site, and to confirm compliance with environmental and health protection standards and requirements. This report also presents the status of remedial activities and the results of monitoring activities to assess their impacts on the public and environment.

  20. 75 FR 10254 - Environmental Impact Statements; Notice of Availability

    Science.gov (United States)

    2010-03-05

    ... Doc No: 2010-4699] ENVIRONMENTAL PROTECTION AGENCY [ER-FRL-8988-6] Environmental Impact Statements...-1399 or http://www.epa.gov/compliance/nepa/ Weekly receipt of Environmental Impact Statements Filed 02... Impacts, Oakland City to Washington, (IN-64 to US 50), Gibson, Pike and Daviess Counties, IN, Wait Period...

  1. 77 FR 62235 - Environmental Impacts Statements; Notice of Availability

    Science.gov (United States)

    2012-10-12

    ... [Federal Register Volume 77, Number 198 (Friday, October 12, 2012)] [Notices] [Page 62235] [FR Doc No: 2012-25154] ENVIRONMENTAL PROTECTION AGENCY [ER-FRL-9005-5] Environmental Impacts Statements...-7146 or http://www.epa.gov/compliance/nepa/ . Weekly receipt of Environmental Impact Statements Filed...

  2. Moment-specific compliance with hand hygiene.

    Science.gov (United States)

    Lau, Tiffany; Tang, Grace; Mak, Ka-lun; Leung, Gilberto

    2014-06-01

    Hand hygiene is an important component of patient-safety education. The World Health Organization recommends the use of hand hygiene measures at five clinical moments. While previous studies have treated hand hygiene as a single entity, we investigated whether and how the compliance of students may vary across the five clinical moments. We also studied their reasons for non-compliance with a view to inform teaching. A voluntary self-administered questionnaire survey was conducted on a convenient sample of 339 medical and nursing students. The five clinical moments studied were: before touching a patient (moment 1); before a clean/aseptic procedure (moment 2); after body fluid exposure risk (moment 3); after touching a patient (moment 4); and after touching the patient's surroundings (moment 5). The overall reported compliance rate was 83.0 per cent. The compliance rates were significantly lower at moments 1 and 5. Nursing students reported better overall compliance (p = 0.01), and at moments 2 (p = 0.0001) and 3 (p = 0.0001), than medical students. Medical students fared better at moment 4 (p = 0.009). The most common reason reported for non-compliance was 'forgetfulness'. We identified differences in compliance rates across the five clinical moments of hand hygiene. Education programmes should not treat the hand hygiene process as a single entity, but should adopt a moment-specific approach to promote recall, with particular emphases on moments 1 and 5. Nursing and medical students may require different education strategies. Future studies on hand hygiene may also adopt a moment-specific approach. © 2014 John Wiley & Sons Ltd.

  3. Environmental Report 2008

    Energy Technology Data Exchange (ETDEWEB)

    Gallegos, G; Bertoldo, N A; Campbell, C G; Cerruti, S; Dibley, V; Doman, J L; Grayson, A R; Jones, H E; Kumamoto, G; MacQueen, D H; Nelson, J C; Paterson, L; Revelli, M A; Wegrecki, A M; Wilson, K; Woollett, J

    2009-09-16

    The purposes of the Lawrence Livermore National Laboratory Environmental Report 2008 are to record Lawrence Livermore National Laboratory's (LLNL's) compliance with environmental standards and requirements, describe LLNL's environmental protection and remediation programs, and present the results of environmental monitoring at the two LLNL sites - the Livermore site and Site 300. The report is prepared for the U.S. Department of Energy (DOE) by LLNL's Environmental Protection Department. Submittal of the report satisfies requirements under DOE Order 231.1A, Environmental Safety and Health Reporting, and DOE Order 5400.5, Radiation Protection of the Public and Environment. The report is distributed electronically and is available at https://saer.lln.gov/, the website for the LLNL annual environmental report. Previous LLNL annual environmental reports beginning in 1994 are also on the website. Some references in the electronic report text are underlined, which indicates that they are clickable links. Clicking on one of these links will open the related document, data workbook, or website that it refers to. The report begins with an executive summary, which provides the purpose of the report and an overview of LLNL's compliance and monitoring results. The first three chapters provide background information: Chapter 1 is an overview of the location, meteorology, and hydrogeology of the two LLNL sites; Chapter 2 is a summary of LLNL's compliance with environmental regulations; and Chapter 3 is a description of LLNL's environmental programs with an emphasis on the Environmental Management System including pollution prevention. The majority of the report covers LLNL's environmental monitoring programs and monitoring data for 2008: effluent and ambient air (Chapter 4); waters, including wastewater, storm water runoff, surface water, rain, and groundwater (Chapter 5); and terrestrial, including soil, sediment, vegetation, foodstuff

  4. 40 CFR 63.772 - Test methods, compliance procedures, and compliance demonstrations.

    Science.gov (United States)

    2010-07-01

    ... Oil and Natural Gas Production Facilities § 63.772 Test methods, compliance procedures, and compliance... procedures documented in the Gas Research Institute (GRI) report entitled “Atmospheric Rich/Lean Method for...) report entitled “Atmospheric Rich/Lean Method for Determining Glycol Dehydrator Emissions”...

  5. 24 CFR 108.21 - Civil rights/compliance reviewing office compliance responsibility.

    Science.gov (United States)

    2010-04-01

    ... 24 Housing and Urban Development 1 2010-04-01 2010-04-01 false Civil rights/compliance reviewing office compliance responsibility. 108.21 Section 108.21 Housing and Urban Development Regulations Relating to Housing and Urban Development OFFICE OF ASSISTANT SECRETARY FOR EQUAL OPPORTUNITY,...

  6. NCAA Compliance: An Examination of NCAA Division I Compliance Officers' Perceptions on the Educative Process

    Science.gov (United States)

    Gimbert, Tonya L.

    2013-01-01

    A review of the literature indicates an absence of studies about compliance officers working in higher education institutions belonging to the National Collegiate Athletic Association (NCAA). The current qualitative study explored the perceptions of compliance officers in the field of intercollegiate athletics at NCAA Division I institutions in…

  7. Biocompatible tissue scaffold compliance promotes salivary gland morphogenesis and differentiation.

    Science.gov (United States)

    Peters, Sarah B; Naim, Nyla; Nelson, Deirdre A; Mosier, Aaron P; Cady, Nathaniel C; Larsen, Melinda

    2014-06-01

    Substrate compliance is reported to alter cell phenotype, but little is known about the effects of compliance on cell development within the context of a complex tissue. In this study, we used 0.48 and 19.66 kPa polyacrylamide gels to test the effects of the substrate modulus on submandibular salivary gland development in culture and found a significant decrease in branching morphogenesis in explants grown on the stiff 19.66 kPa gels relative to those grown on the more physiologically compliant 0.48 kPa gels. While proliferation and apoptosis were not affected by the substrate modulus, tissue architecture and epithelial acinar cell differentiation were profoundly perturbed by aberrant, high stiffness. The glands cultured on 0.48 kPa gels were similar to developing glands in morphology and expression of the differentiation markers smooth muscle alpha-actin (SM α-actin) in developing myoepithelial cells and aquaporin 5 (AQP5) in proacinar cells. At 19.66 kPa, however, tissue morphology and the expression and distribution of SM α-actin and AQP5 were disrupted. Significantly, aberrant gland development at 19.66 kPa could be rescued by both mechanical and chemical stimuli. Transfer of glands from 19.66 to 0.48 kPa gels resulted in substantial recovery of acinar structure and differentiation, and addition of exogenous transforming growth factor beta 1 at 19.66 kPa resulted in a partial rescue of morphology and differentiation within the proacinar buds. These results indicate that environmental compliance is critical for organogenesis, and suggest that both mechanical and chemical stimuli can be exploited to promote organ development in the contexts of tissue engineering and organ regeneration.

  8. DOE/RL Hanford Site Air Operating Permit Annual Compliance Certification Report for the Period July 2 2001 through December 31 2001 [SEC 1 & 2

    Energy Technology Data Exchange (ETDEWEB)

    GREEN, W.E.

    2002-05-22

    The Hanford Site Air Operating Permit (AOP), Number 00-05-006, became effective on July 2, 2001. The AOP, Section 4.3.4, ''Annual Compliance Certification'', requires submittal of an annual compliance certification report no later than 12 months following the effective date of the permit. This report is to be certified for truth, accuracy, and completeness by a Responsible Official. This first annual compliance certification report contains information for the period from July 2, 2001 through December 31, 2001. Hereafter, the annual compliance certification report will contain information for the period from January 1 through December 31, as required by the AOP Section 4.3, ''Submittals''. Copies of the annual compliance certification reports are transmitted to the Washington State Department of Ecology (Ecology), the Washington State Department of Health (WDOH), the Benton Clean Air Authority (BCAA), and the U.S. Environmental Protection Agency (EPA), Region 10. For the applicable reporting period, Section 4.3.3, ''Annual Compliance Certification'', requires the following content for the annual compliance certification report: (1) The identification of each term or condition of the permit that is the basis of the certification; (2) The compliance status; (3) Whether compliance was continuous or intermittent; (4) The method(s) used to determine the compliance status of the source over the reporting period consistent with Washington Administrative Code (WAC) 173401 -61 5(3)(a); and (5) Such other facts as Ecology, WDOH, or BCAA might be required to determine the compliance status of the source. According to WAC 173-401-630(5), no certification is required for insignificant emission units. The specific terms and conditions for this annual compliance certification report consist of all emission point specific terms and conditions contained in the AOP Attachment 1 and Attachment 2 tables, plus Attachment 3 for

  9. Fernald Environmental Management Project 1995 site environmental report

    Energy Technology Data Exchange (ETDEWEB)

    NONE

    1996-06-01

    The Fernald site continues to examine the air and liquid pathways as possible routes through which pollutants from past operations and current remedial activities may leave the site. This 1995 Site Environmental Report provides the general public as well as scientists and engineers with the results from the site`s ongoing Environmental Monitoring Program. Also included in this report is information concerning the site`s progress toward achieving full compliance with requirements set forth by DOE, US Environmental Protection Agency (USEPA), and Ohio EPA.

  10. 1999 Environmental Monitoring Program Report

    Energy Technology Data Exchange (ETDEWEB)

    L. V. Street

    2000-09-01

    This report describes the calendar year 1999 compliance monitoring and environmental surveillance activities of the Idaho National Engineering and Environmental Laboratory management and operating contractor Environmental Monitoring Program. This report includes results of sampling performed by the Drinking Water, Effluent, Storm Water, Groundwater Monitoring, and Environmental Surveillance Programs. This report compares the 1999 results to program-specific regulatory guidelines and past data to evaluate trends. The primary purposes of the monitoring and surveillance activities are to evaluate environmental conditions, to provide and interpret data, to verify compliance with applicable regulations or standards, and to ensure protection of public health and the environment. Surveillance of environmental media did not identify any previously unknown environmental problems or trends, which would indicate a loss of control or unplanned releases from facility operations. The Idaho National Engineering and Environmental Laboratory complied with permits and applicable regulations, with the expectation of nitrogen in two disposal pond effluent streams iron and total coliform bacteria in groundwater downgradient from one disposal well, and coliform bacteria in drinking water systems at two facilities. Maintenance activities were performed on the two drinking water systems and tested prior to putting back into service. The monitoring and surveillance results demonstrate that the public health and environment were protected.

  11. Site Annual Environmental Report for 1997 (SAER)

    Energy Technology Data Exchange (ETDEWEB)

    Biermann, A.H.; Althouse, P.E; Brandstetter, E.R.; Christofferson, E.C.; Fields, B.C.; Gallegos, G.M.; Garcia, L.M.; Harrach, R.J.; Larson, J.M.; Tate, P.J.

    1998-09-01

    The Environmental Report 1997 is prepared for the U.S. Department of Energy (DOE), as required by DOE Order 5400.1 and DOE Order 231.1, by the Environmental Protection Department (EPD) at the Lawrence Livermore National Laboratory (LLNL). The results of LLNL's environmental monitoring and compliance effort and an assessment of the impact of LLNL operations on the environment and the public are presented in this publication.

  12. Annual Site Environmental Report, 2000 (ASER)

    Energy Technology Data Exchange (ETDEWEB)

    Russak, Hillary M.

    2001-11-20

    This report provides information about environmental programs and compliance with environmental regulations during 2000 at the Stanford Linear Accelerator Center (SLAC). In addition, updates that may be of special interest, which occurred beyond 2000, are included. The most noteworthy information in this report is summarized in this section. This summary demonstrates the effective application of SLAC environmental management systems in meeting the site's Integrated Safety Management System (ISMS) goals.

  13. Environmental Assessment Supplement: Proposed Military Construction Project, Deployable Medical System Training Area and Military Equipment Parking, Fairchild Air Force Base, Washington

    Science.gov (United States)

    2011-11-01

    Environmental Compliance Requirements National Environmental Policy Act of 1969, as amended NEPA requires all federal agencies to use a systematic ...Order Lepidoptera ) and grasshoppers (Order Orthoptera). Holes, which were likely the openings of badger burrows (Selser, personal communication, 2011...Compliance Requirements National Environmental Policy Act of 1969 (NEPA), as amended NEPA requires all Federal agencies to use a systematic

  14. On the association between the recent episode of the quasi-biennial oscillation and the strong El Niño event

    Science.gov (United States)

    Varotsos, Costas A.; Sarlis, Nikos V.; Efstathiou, Maria

    2017-07-01

    Since February 2016, the equatorial quasi-biennial oscillation (QBO) in zonal wind of the lower stratosphere exhibited anomalous behavior. In more detail, it broke down from its typical pattern and the eastward stratospheric winds unexpectedly reversed to a westward direction. We herewith attempt to detect whether this unprecedented event could be considered as a result of plausible long-range correlations in the QBO temporal evolution. The analyses performed using all the available QBO data sets showed that such an interpretation could not be inferred, because the temporal evolution of the equatorial zonal wind in the lower stratosphere does not exhibit power-law behavior. Further, the natural time analysis of the QBO data indicates precursory behavior before the maximization of the zonal wind velocity and that the recent strong El Niño event might be related with the aforementioned unprecedented behavior.

  15. Maintaining health insurance during a recession: likely COBRA eligibility: an updated analysis using the Commonwealth Fund 2007 Biennial Health Insurance Survey.

    Science.gov (United States)

    Doty, Michelle; Rustgi, Sheila D; Schoen, Cathy; Collins, Sara R

    2009-01-01

    As the U.S. economic downturn continues and job losses mount, more working Americans are likely to lose access to affordable health benefits subsidized by their employers. Analysis of the 2007 Commonwealth Fund Biennial Health Insurance Survey finds that two of three working adults would be eligible to extend job-based coverage, under the 1985 Consolidated Omnibus Budget Reconciliation Act (COBRA) if they became unemployed. Under COBRA, however, unemployed workers would have to pay four to six times their current contribution at a time of sharply reduced income. In fact, the latest national figures indicate that, because of high premiums, only 9 percent of unemployed workers have COBRA coverage. Substantial financial assistance of 75 percent to 85 percent of premiums could help laid-off workers maintain coverage. In addition, expansion of Medicaid and the State Children's Health Insurance Program would benefit low-income, laid-off workers and their families who are ineligible for COBRA.

  16. The rise in health care coverage and affordability since health reform took effect: findings from the Commonwealth Fund Biennial Health Insurance Survey, 2014.

    Science.gov (United States)

    Collins, Sara R; Rasmussen, Petra W; Doty, Michelle M; Beutel, Sophie

    2015-01-01

    New results from the Commonwealth Fund Biennial Health Insurance Survey, 2014, indicate that the Affordable Care Act's subsidized insurance options and consumer protections reduced the number of uninsured working-age adults from an estimated 37 million people, or 20 percent of the population, in 2010 to 29 million, or 16 percent, by the second half of 2014. Conducted from July to December 2014, for the first time since it began in 2001, the survey finds declines in the number of people who report cost-related access problems and medical-related financial difficulties. The number of adults who did not get needed health care because of cost declined from 80 million people, or 43 percent, in 2012 to 66 million, or 36 percent, in 2014. The number of adults who reported problems paying their medical bills declined from an estimated 75 million people in 2012 to 64 million people in 2014.

  17. The problem of underinsurance and how rising deductibles will make it worse. Findings from the Commonwealth Fund Biennial Health Insurance Survey, 2014.

    Science.gov (United States)

    Collins, Sara R; Rasmussen, Petra W; Beutel, Sophie; Doty, Michelle M

    2015-05-01

    New estimates from the Commonwealth Fund Biennial Health Insurance Survey, 2014, indicate that 23 percent of 19-to-64-year-old adults who were insured all year--or 31 million people--had such high out-of-pocket costs or deductibles relative to their incomes that they were underinsured. These estimates are statistically unchanged from 2010 and 2012, but nearly double those found in 2003 when the measure was first introduced in the survey. The share of continuously insured adults with high deductibles has tripled, rising from 3 percent in 2003 to 11 percent in 2014. Half (51%) of underinsured adults reported problems with medical bills or debt and more than two of five (44%) reported not getting needed care because of cost. Among adults who were paying off medical bills, half of underinsured adults and 41 percent of privately insured adults with high deductibles had debt loads of $4,000 or more.

  18. How Medicaid Enrollees Fare Compared with Privately Insured and Uninsured Adults: Findings from the Commonwealth Fund Biennial Health Insurance Survey, 2016.

    Science.gov (United States)

    Gunja, Munira Z; Collins, Sara R; Blumenthal, David; Doty, Michelle M; Beutel, Sophie

    2017-04-01

    ISSUE: The number of Americans insured by Medicaid has climbed to more than 70 million, with an estimated 12 million gaining coverage under the Affordable Care Act’s Medicaid expansion. Still, some policymakers have questioned whether Medicaid coverage actually improves access to care, quality of care, or financial protection. GOALS: To compare the experiences of working-age adults who were either: covered all year by private employer or individual insurance; covered by Medicaid for the full year; or uninsured for some time during the year. METHOD: Analysis of the Commonwealth Fund Biennial Health Insurance Survey, 2016. FINDINGS AND CONCLUSIONS: The level of access to health care that Medicaid coverage provides is comparable to that afforded by private insurance. Adults with Medicaid coverage reported better care experiences than those who had been uninsured during the year. Medicaid enrollees have fewer problems paying medical bills than either the privately insured or the uninsured.

  19. Quasi-biennial oscillation in atmospheric ozone, and its possible consequences for damaging UV-B radiation and for determination of long-term ozone trends

    Energy Technology Data Exchange (ETDEWEB)

    Gruzdev, A.N. [Russian Academy of Sciences, Moscow (Russian Federation). Inst. of Atmospheric Physics

    1995-12-31

    The quasi-biennial oscillation (QBO) in ozone is supposed to be related to the QBO of zonal wind in the tropical stratosphere, with an approximate period of 29 months. Generally speaking, mechanisms of QBO-related effects in the extratropical atmosphere should depend on season and region, resulting in other periodicities (e.g., a 20-month periodicity) due to nonlinear interaction between the `pure` QBO and an annual cycle. Seasonal and regional dependences of QBO-related effects in ozone not only influence the regime of ozone variability itself, but can have important consequences, for example, for interannual changes in biologically active UV-B radiation and for determination of long-term ozone trends. This work is concerned with these problems

  20. A quarter century of research on the Colorado Plateau: a compilation of the Colorado Plateau Biennial Conference Proceedings for 1993-2015

    Science.gov (United States)

    Van Riper, Charles; Drost, Charles A.; Selleck, S. Shane

    2015-01-01

    This Open-File Report is a compilation of the work published in the Colorado Plateau Biennial Conference book series over the span of the past nearly quarter century (conferences held between 1991–2011). The primary focus of the conferences has been to work toward integrating new science findings into management of the region’s natural and cultural resources. This conference and book series has begun a tradition of cooperation and community, bridging cultural, social, and biophysical research interests and addressing the needs of scientists and land managers working in a complex geographic area. We include here the abstracts for each of the 11 books in the series, as well as links to files with comprehensive literature citations and author listings. The goal of this compilation is to encourage further cooperation and communication on research and management issues of the Colorado Plateau among researchers, land managers, Native American tribes, and the public.