• 제목/요약/키워드: return period

검색결과 1,001건 처리시간 0.026초

설계 강우량의 재현빈도 변화에 따른 도시유역의 침수특성 분석 (An Analysis on Inundation Characteristics of Urban Watershed according to Variation in Return Period of Design Rainfall)

  • 박인혁;하성룡
    • 한국습지학회지
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    • 제15권4호
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    • pp.585-593
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    • 2013
  • 본 연구는 강우 시 지표수의 관거 내 재유입을 고려할 수 있는 이중배수체계 모형을 활용하여 청주시의 설계 강우량에 따른 도시 유역의 침수를 모의하고 설계 강우량의 재현기간 변화에 따라 달라지는 침수특성을 분석하고자 한다. 이를 위해 청주시의 LiDAR 데이터로부터 $1m{\times}1m$ 해상도의 지표고도모델을 구축하여 입력 자료로 활용하였으며, 재현기간별 설계 강우량을 수문 입력 자료로 활용하였다. 분석 결과, 재현기간이 증가함에 따라 홍수량은 선형적인 증가를 보이지만, 침수면적은 재현기간 30년 이후 증가율이 완화되는 것으로 나타났으며, 평균 침수심의 경우 재현기간 30년 설계 강우량과 재현기간 200년 빈도 설계 강우량을 사용한 경우에 큰 폭의 증가가 발생했다. 한편 대상지역 내 주요 지점에 대한 통수부족량 산출 결과, 재현기간 10년의 설계 강우량을 활용한 경우에는 모두 통수 부족이 발생하지 않았으나 그 이상의 설계 강우량부터 통수부족이 발생하였다. 대상 지역 전체에 대한 통수 부족량 산출 결과, 재현기간 10년 이상의 설계 강우량부터 통수 부족량이 큰 폭으로 증가하나 설계 강우량의 재현기간이 50년을 넘어가면 통수 부족량의 증가율이 둔화되는 것으로 나타났다.

농업유역의 일별 하천유출량 추정 (Prediction of Daily Streamflow on Agricultural Watersheds)

  • 임상준;박승우
    • 한국관개배수논문집
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    • 제13권2호
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    • pp.274-282
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    • 2006
  • The objective of this study was to develop a hydrologic simulation model to predict daily streamflow from a small agricultural watershed considering irrigation return flow. The proposed IREFLOW(Irrigation REturn FLOW) model consists of hillslope runoff model, irrigation scheme drainage model, and irrigation return flow model, and simulates daily streamflow from an irrigated watershed. Two small watersheds were selected for monitoring of hydrological components and evaluating the model application. The relative error (RE) between observed and simulated daily streamflow were 2.9% and 6.4%, respectively, on two small agricultural watersheds (Baran and Gicheon) for the calibration period. The values of RE in daliy streamflow for the validation period were 6.0% for the Baran watershed, and 2.8% for the Gicheon watershed.

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Improving Efficiency of Timeslot Assignment for Non-realtime Data in a DVB-RCS Return Link: Modeling and Algorithm

  • Lee, Ki-Dong;Cho, Yong-Hoon;Lee, Ho-Jin;Oh, Deock-Gil
    • ETRI Journal
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    • 제25권4호
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    • pp.211-218
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    • 2003
  • This paper presents a dynamic resource allocation algorithm with multi-frequency time-division multiple access for the return link of interactive satellite multimedia networks such as digital video broadcasting return channel via satellite systems. The proposed timeslot assignment algorithm, called the very efficient dynamic timeslot assignment (VEDTA) algorithm, gives an optimal assignment plan within a very short period. The optimality and computational efficiency of this algorithm demonstrate that it will be useful in field applications.

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용수 파력발전소 사례에서 독립 케이슨의 피복석 안정성 연구 (Study of Stability for Armor Weight of Stand-alone Caisson at Yongsu Wave Power Plant)

  • 김건우
    • 한국해안·해양공학회논문집
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    • 제31권6호
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    • pp.478-484
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    • 2019
  • 용수 파력발전소의 해저케이블이 단락되는 사고가 2014년 겨울에 발생했다. 그 원인을 밝히기 위해서 재현기간 50년 이상의 고파랑 발생 가능성과 케이블 보호공의 설계중량 과소 산정 여부를 검토하였다. 기상청에서 운용하는 부이의 관측자료와 파랑추산자료를 검토하여 겨울동안 발생한 고파랑의 재현기간을 살펴보았다. 케이블 보호공의 설계중량을 검토하기 위해서 항만 및 어항 설계기준 뿐만 아니라 파의 입사각이 큰 경우의 연구결과를 참조해서 직접 안정중량을 계산하였다. 분석 결과, 2014년 겨울동안 재현빈도 50년 이상의 고파랑은 발생하지 않았으며, 경사지게 입사하는 파랑에 대한 케이블 보호공의 중량이 부족해서 보호공이 이탈한 것으로 나타났다.

풍속 재현빈도와 일치하는 해일모의용 표준태풍 생성 (Generation of a Standard Typhoon using for Surge Simulation Consistent with Wind in Terms of Return Period)

  • 강주환;김양선;권순덕;전영선
    • 한국해안·해양공학회논문집
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    • 제28권1호
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    • pp.53-62
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    • 2016
  • 서해안에 영향을 미친 태풍자료를 사용하여 몬테칼로 시뮬레이션을 통해 목포를 비롯하여 군산, 인천 및 제주 등 서해안 4곳의 빈도별 풍속을 산정하였다. 민감도분석 결과 최근접거리와 최대풍속반경의 차이가 풍속에 가장 영향을 크게 미치는 요소이고 위치각과 기압강하량 역시 민감한 반면 이동속도는 가장 둔감한 매개변수로 나타나고 있다. 이를 토대로 빈도별 최대풍속을 발생시키는 평균적인 해당빈도의 표준태풍을 설정할 수 있으며, 각 지점에서의 태풍 매개변수 설정을 통해 표준태풍을 확립할 수 있다. 이러한 표준태풍을 통해 빈도별 풍속과 일맥상통하는 빈도별 해일고 역시 산정할 수 있게 된다. 또한 가항반원에 해당하는 자료만 포함시켜 해석함으로써 음해일을 유발하는 표준태풍 역시 생성할 수 있다.

′98-′99 마라도해역에서의 파랑의 특성 (Wave Properties in the Sea Area of Mara-do in ′98 and ′99)

  • 안용호;정진영;류황진;김도영
    • 한국해양공학회:학술대회논문집
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    • 한국해양공학회 2001년도 추계학술대회 논문집
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    • pp.108-116
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    • 2001
  • In this paper, statistical properties of waves in the sea area of Mara-do, Korea are examined based on 1998-1999's wave data from a directional wave buoy which is located in Mara-do. Wave data aquisition rate, monthly maximium, minimum and mean wave heights, frequency of wave direction are summarized. Wave height and period scatter diagrams and n-year return period wave heights are estimated. Wave periods of maximum wave heights are also estimated.

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극한파의 통계적 특성에 대한 연구 (On statistical Properties of the Extreme Waves)

  • 류황진;김도영
    • 한국해양공학회:학술대회논문집
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    • 한국해양공학회 2003년도 추계학술대회 논문집
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    • pp.309-316
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    • 2003
  • In this paper, The statistical properties of ocean waves in the sea area of Hong-do, Korea are examined based on 1998-2002's wave data from a directional wave buoy. Wave data aquisition rate, mean wave heights, frequency of wave direction are summarized. Wave height and period scatter diagrams and n-years return period wave heights are estimated. Wave periods of maximum wave heights are also estimated. Large amplitude wave characteristics during the typhoon Prapiroon in 2000, Rusa in 2002 are also examined.

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재현주기에 따른 응답스펙트럼과 설계지반운동 산정방법 (Generation of Design Response Spectrum and Earthquake Ground Motion Considering the Recurrence Period)

  • 이현호
    • 한국지진공학회:학술대회논문집
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    • 한국지진공학회 1998년도 춘계 학술발표회 논문집 Proceedings of EESK Conference-Spring 1998
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    • pp.58-65
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    • 1998
  • A purpose of this research is to develope the calculation methods of design input seismic loads, Where, calculation methods are ; (1) Considering different recurrence period of earthquakes which was proposed by ATC 14. (2) Using earthquake records which was modified Korean codes. Responce spectra that was adopted by codes has an estimated recurrence interval of 500 years, with approximately a 90 percent probability of not being exceeded in 50 years. But If we considered the life-time of existing buildings in some cases, response spectra be modified with return period of earthquakes. If we be design highrise and irregular buildings, dynamic analysis method that use time history records should be used. But in Korea, time history records of earthquakes was very few. Therefore to use foreign countries's earthquake record, it is need to select of records considered Korean coeds. As a results, this study propose a calculation method of seismic design input loads that considered return period of earthquakes and also propose using method of earthquakes.

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Relationship between Accrual Anomaly and Stock Return: The Case of Vietnam

  • DANG, Hung Ngoc;TRAN, Dung Manh
    • The Journal of Asian Finance, Economics and Business
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    • 제6권4호
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    • pp.19-26
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    • 2019
  • The study investigates the impact of accrual anomaly on stock return ratio of listed firms in Vietnam. Data were collected from listed firms for the period from 2008 to 2018. To learn about the causes of accrual anomaly in returns and future rate of returns on the Vietnamese stock market, this research is based on accrual analysis of Richardson, Sloan, Soliman, and Tuna (2006) on growth and effective components. We employ GLS regression model for examining the impact of accrual anomaly on stock return ratio and T-test for checking the difference between the lowest and the highest portfolio. The results show that accounting distortion is the main factor impacting the stock return, not growth determinant. Both two determinants of accounting distortion and growth contribute the explanation of the impact of accrual anomaly on profit and future stock return ratio. Experimental evidence confirms an abnormal existence of accrual in the Vietnam stock market. Aggregate accrual is negatively correlated with future operating profit and future stock return. However, after considering the factors contributing to the impact of future profitability and return on stock returns, the study results show that accounting distortion can account for low sustainability of income that is not growth.

The Effect of Liquidity Risks on the Relationship between Earnings and Stock Return on Jordanian Public Shareholding Industrial Companies

  • SHAKATREH, Mamoun
    • The Journal of Asian Finance, Economics and Business
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    • 제7권4호
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    • pp.21-28
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    • 2020
  • The objectives of this study are threefold: 1) to identify the concepts of earnings, stock return and liquidity risks on public shareholding industrial companies listed in the Amman Stock Exchange, 2) to investigate the relationship between earnings, stock return, strength and direction of this relationship, and 3) to find out the effect of liquidity risks at stock return and the effect of liquidity risks on the relationship between earnings and stock return on Jordanian public shareholding industrial companies. To achieve the objectives, an analytical descriptive approach was used. As the data on the public shareholding industrial companies listed in the Amman Stock Exchange were accredited by 52 companies for the period between 2014-2019, data validation tests and their suitability for analysis were considered. A linear regression test was used to test the study hypotheses on the statistical analysis program. The results show that there is a positive and significant correlation at significance level between the earnings and stock return. The results of the study also showed that there is a statistically significant negative effect at significance level of liquidity risk on stock return. In addition, it was demonstrated that liquidity risks have significant negative effects on the relationship between earnings and stock returns.