Channeling in Fractured Zones and its Potential Impact on the Transport of Radionuclides

1988 ◽  
Vol 127 ◽  
Author(s):  
Luis Moreno ◽  
Ivars Neretnieks

Recent observations in several tunnels and drifts in crystalline rocks in Sweden indicate that there are quite frequent fracture zones in the rock. In a 4500 m long tunnel in Kymmen which has been mapped, more than 60 fracture zones were identified. The water inflow in these zones was assessed and the locations and character of the inflow “points” were charted. It is evident that the water emerges in isolated spots often with quite limited dimensions. The frequency of wet spots is on the order of one or a few per several tens of square meters. Often the spots are seen to be connected to small holes. Similar observations have been made in the caverns and drifts of the Swedish low and intermediate waste repository- SFR.

Author(s):  
S.R. Flynn ◽  
B.S. Nakashima ◽  
M.P.M. Burton

Assessment of spawning survival for female capelin Mallotus villosus (Pisces: Osmeriformes) greater than 12 cm in length was made in the autumn of 1995–1997 comparing a histological technique with existing methods. An intensive macroscopic visual assessment of selected samples from 1995, 1996 and 1997 revealed that 10, 20 and 40% of the females were recovering from spawning respectively each year. Histological assessments of the same fish revealed that 20% in 1995, and nearly 60% of the fish in 1996 and 1997 showed physiological evidence of previous spawning. The proportion of recovering spawners increased with both length and age of the fish. One sample from the Northwest Atlantic Fisheries Organization area of 2J during October 1997 contained nearly 90% recovering fish. The potential impact of the fishery in light of the variability in post-spawning survival of the iteroparous female capelin is discussed.


Coatings ◽  
2019 ◽  
Vol 9 (12) ◽  
pp. 866 ◽  
Author(s):  
Antonios N. Papadopoulos ◽  
Hamid R. Taghiyari

This work reviewed innovative wood surface treatments based on nanotechnology. It is well documented in the literature that the cell walls of wood present significant porosity; this porosity is on a molecular scale. The main reason for the use of nanotechnology in wood science and technology is the unique characteristic of nano-based materials to effectively penetrate deeply into wood substrates, which, in turns, results in the alteration of their surface chemistry. This subsequently causes an improvement in wood properties. Any potential change in the wood properties due to treatment with nanomaterials is based on the higher interfacial area which is developed due to the treatment. This occurs because the number of particles is significantly reduced to the nanoscale. The nanomaterials improve the properties of wood as a raw material and alter its original features to a limited extent. However, their potential impact on both health and the environment should be addressed by applying tools such as life-cycle assessments. This will avoid mistakes being made in which new technologies are released on the market prior to an impact assessment having been carried out.


1887 ◽  
Vol 4 (12) ◽  
pp. 531-540
Author(s):  
T. Sterry Hunt

The present writer in 1883 reviewed the history of the rocks of the Alps and the Apennines with especial reference to the geological relations of serpentine and its associates, in a paper which appeared in the first volume of the Transactions of the Royal Society of Canada, and is reprinted, revised and with some additions, as the tenth chapter of his volume entitled “Mineral Physiology and Physiography” (Boston, 1886). Therein he gave a somewhat detailed account of the labours in Italian geology of the late Professor Bartolomeo Gastaldi, of Turin, a list of whose publications on that subject from 1871 to 1878, so far as known to the writer, will there be found, including his letter to Quintino Sella, in 1878, on the general results of explorations made in 1877 (loc. cit., 458).


Geophysics ◽  
1994 ◽  
Vol 59 (5) ◽  
pp. 753-765 ◽  
Author(s):  
J. S. Kim ◽  
Wooil M. Moon ◽  
Ganpat Lodha ◽  
Mulu Serzu ◽  
Nash Soonawala

The high‐resolution reflection seismic technique is being used increasingly to address geologic exploration and engineering problems. There are, however, a number of problems in applying reflection seismic techniques in a crystalline rock environment. The reflection seismic data collected over a fractured crystalline rock environment are often characterized by low signal‐to‐noise ratios (S/N) and inconsistent reflection events. Thus it is important to develop data processing strategies and correlation schemes for the imaging of fracture zones in crystalline rocks. Two sets of very low S/N, high‐resolution seismic data, previously collected by two different contractors in Pinawa, Canada, and the island of Äspö, Sweden, were reprocessed and analyzed, with special emphasis on the shallow reflection events occurring at depths as shallow as 60–100 m. The processing strategy included enhancing the signals hidden behind large‐amplitude noise, including clipped ground roll. The pre‐ and poststack processing includes shot f-k filtering, residual statics, careful muting after NMO correction, energy balance, and coherency filtering. The final processed seismic sections indicate that reflected energy in these data sets is closely related to rock quality in Äspö data and fracturing in Atomic Energy of Canada, Ltd. (AECL) data. The lithologic boundaries are not clearly mappable in these data. When thickness of the reflection zone is of the order of a wavelength, the top and bottom of the zone may be resolved. The major fracture zones in crystalline rocks correlate closely with the well‐log data and are usually characterized by very low velocity and produce low‐acoustic‐impedance contrasts compared to those of surrounding rocks. Because the incidence angles vary rapidly for shallow‐reflection geometries, segments of major fracture zones can effectively be analyzed in terms of reflectivity. Reflection images of each fracture zone were investigated in the common‐offset section, where each focused event was associated with a consistent incidence angle on the reflectivity map. The complex attributes of the data indicate that strong reflectors at shallow depth coincide with intensely fractured zones. These correlate well with instantaneous amplitude plots and instantaneous frequency plots. The instantaneous phase plot also identifies the major and minor fractures.


2019 ◽  
Vol 4 (1) ◽  
pp. 118-129 ◽  
Author(s):  
Steven R. Cox

Purpose The purpose of this article is to provide a review of the neck-type electrolarynx, describe acoustic and perceptual characteristics of electrolaryngeal speech, and highlight the potential impact of electrolaryngeal speech on voice-related quality of life postlaryngectomy, concluding by describing efforts to improve electrolaryngeal speech rehabilitation. Although several alaryngeal communication options exist, the electrolarynx is the most readily available means of producing voice and speech postlaryngectomy. This is due to the small and handheld nature of an electrolaryngeal device, which is commonly placed against the neck during use. Research suggests that approximately half of laryngectomees use an electrolarynx up to 2 years postlaryngectomy. Conclusion Given the importance of the electrolarynx postlaryngectomy, decisions should be made in conjunction with the laryngectomee. It is important to ask: Why not an electrolarynx?


Cells ◽  
2019 ◽  
Vol 8 (6) ◽  
pp. 548 ◽  
Author(s):  
Dario Sorrentino ◽  
Vu Q. Nguyen ◽  
Maithili V. Chitnavis

While much progress has been made in the last two decades in the treatment and the management of inflammatory bowel diseases (IBD)—both ulcerative colitis (UC) and Crohn’s Disease (CD)—as of today these conditions are still diagnosed only after they have become symptomatic. This is a major drawback since by then the inflammatory process has often already caused considerable damage and the disease might have become partially or totally unresponsive to medical therapy. Late diagnosis in IBD is due to the lack of accurate, non-invasive indicators that would allow disease identification during the pre-clinical stage—as it is often done in many other medical conditions. Here, we will discuss what is known about the biologic onset and pre-clinical CD with an emphasis on studies conducted in patients’ first degree relatives. We will then review the possible strategies to diagnose IBD very early in time including screening, available disease markers and imaging, and the possible clinical implications of treating these conditions at or close to their biologic onset. Later, we will review the potential impact of conducting translational research in IBD during the pre-clinical stage, especially focusing on the role of the microbiome in disease etiology and pathogenesis. Finally, we will highlight possible future developments in the field and how they can impact IBD management and our scientific knowledge of these conditions.


1995 ◽  
Vol 412 ◽  
Author(s):  
Torbjörn Carlsson ◽  
Hannu Aalto

AbstractAt the Finnish candidate sites for a nuclear waste repository, calcite (CaCO3) is a common fracture mineral that may participate in coprecipitation processes. The objective of this preliminary work was to study the coprecipitation of the trace elements Sr, Ni, and U with CaCO3 under controlled conditions. The experiments were made in a titration vessel at room temperature under pure N2 or a 0.1 % CO 2/N2 mixture. The water phase contained CaCl2 (0.01M) and NaCl (0.05 M) to which trace amounts of Ni2+, Sr2+ and UO22+ were initially added. CaCO3 was precipitated by the addition of Na2CO3 and the use of CaCO3 seed crystals. When about 10−4 mol of precipitate had formed, the solution and solid phases were analysed with ICPMS. The results seem to indicate that Ni coprecipitated with CaCO3 under the experimental conditions, while U did not. In the case of Sr, further data are needed in order to make any conclusions from the experiments.


2020 ◽  
Vol 15 (4) ◽  
pp. 25
Author(s):  
Chiraz Rouissi

The information system and in particular Enterprise Resource Planning are essential tools for management controllers. Nowadays, in large and medium-sized enterprises, information integration is carried out in most cases in an ERP environment. Management controllers have also seen the birth of their profession thanks to the changes made in organizations on information systems. The main aim of this article is a question of identifying the expectations of the firm, of characterizing the ERP and of determining their potential impact on the management control systems. This paper will present the influence of the key success factors (KSF) on the satisfaction of the management controller through quantitative research with a survey. To collect the data necessary for this research, a quantitative confirmatory study will be conducted.


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