Proceedings of the 24th ITTC - Volume I
255
The Ocean Engineering Committee
Final Report and Recommendations to the 24th ITTC
1.
INTRODUCTION
1.1 Membership and Meetings
The Members of the Ocean Engineering
Committee of the 24th International Towing
Tank Conference were as follows:
Dr. Carl Trygve Stansberg (Chairman from
May 2003).
Norwegian Marine Technology Research
Institute, Norway.
Dr. Martin Downie (Secretary).
University of Newcastle upon Tyne, United
Kingdom.
Ir. Radboud van Dijk.
Maritime Research Institute Netherlands,
The Netherlands.
Prof. Antonio C. Fernandes.
LabOceano, Universidade Federal do Rio
de Janeiro, Brasil.
Dr. Pierre Ferrant.
Laboratoire de Mécanique des Fluides,
École Centrale de Nantes, France.
Dr. Nuno Fonseca (from December 2003)
Instituto Superior Técnico, Portugal.
Dr. Yasushi Higo.
Hiroshima University, Japan.
Dr. Sa Young Hong.
Korea Ocean Research and Development
Institute, Korea.
Mr. Fraser Winsor (from November 2003)
Institute for Ocean Technology, National
Research Council, Canada.
Dr. Bruce Colbourne (Chairman until April
2003).
Institute for Ocean Technology, National
Research Council, Canada.
Dr. Claudio Lugni (until November 2003).
Instituto Nazionale per Studi ed Esperienze
di Architettura Navale, Italy.
Four Committee
respectively at:
meetings
were
held
École Centrale de Nantes, France, June
2003.
Norwegian Marine Technology Research
Institute, Norway, March 2004.
LabOceano, Brazil, November 2004.
Hiroshima University, Japan, March 2005.
1.2 Tasks based on Recommendations of the
23rd ITTC
The original list of tasks recommended by
the 23rd ITTC was found to be too large, and a
reduced list was agreed with the Advisory
Council of the 24th ITTC as follows:
State of the Art Reviews.
Review the state-of-the-art, comment on
the potential impact of new developments on
the ITTC and identify the need for research and
development for predicting the behaviour of
bottom founded or stationary floating structures including moored and dynamically
positioned ships. The review should include the
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The Ocean Engineering Committee
modelling and simulation of waves, wind and
current environments in deep and finite depth
water. The review of wave modelling and
simulation should include topics such as wave
generation on a current and in finite depth
waters; active wave absorption and reduction
of parasitic laboratory waves; and further integration of model test waves with numerical
modelling. Review the state-of-the-art of the
prediction of the roll of floaters with risers and
mooring systems.
3. Review the ITTC Procedure 7.5-02-07-03.3
for Model Testing on Tanker-Turret Systems, and update as required.
1.3 Structure of the Report
The work carried out by the committee is
presented as follows:
State of the Art Reviews.
Section 2: Modelling/Simulation of Wave
and Current Environments,
Section 3: Modelling/Simulations of Wind
Environments,
Section 4: Predicting the Behaviour of
Bottom Founded Structures,
Section 5: Predicting the behaviour of
Stationary Floating Systems,
Section 6: Predicting the Behaviour of
Dynamically Positioned Ships,
Section 7: Vortex Induced Vibrations and
Vortex Induced Motions,
Section 8: Prediction of the Roll of Floaters
with Risers and Mooring Systems.
Monitor and follow the development of
new experimental techniques and extrapolation
methods.
Identify the requirements for new documentation or procedures, updates, benchmark
data, validation and uncertainty analysis and
stimulate the research necessary for their
preparation.
1.
2.
3.
4.
Develop New Documentation /Procedures.
Monitor research on Vortex Induced Vibrations (VIV).
Study and recommend guidelines for
issues of importance to shallow water
testing such as wave spectra, response nonlinearity and mooring modelling.
Recommend a procedure for the definition
of directional irregular wave spectra,
including measurement, accuracy, analysis
and validation.
Make an assessment of uncertainties in the
modelling of nonlinear effects in a 100year steep sea state, by a comparative
benchmarking analysis including laboratory experiments, numerical models, theoretical prediction models as well as field
data.
Review Existing Documentation.
1. Review the techniques for hybrid model
testing and amend procedure 7.5-02-0703.4 for Hybrid Mooring Simulation Model
Test Experiments as required.
2. Review the first attempt of the Loads and
Responses Committee of the 23rd ITTC to
develop Procedures for the Validation of
Codes in the Frequency Domain.
Review of Existing Documentation.
Section 9 reviews existing documentation
relating to: Procedures for hybrid model testing
(7.5-02-07-03.4), turret tanker systems (7.5-0207-03.3) and floating platform experiments
(7.5-02-07-03.1). It also discusses the validation of codes in the frequency domain.
New Documentation.
Section 10: Truncation of Test Models and
Integrations with Numerical Models,
Section 11: Guideline on the Modelling of
Directional Wave Spectra.
Section 12: Wave Generation in Shallow
Water,
Section 13: Nonlinear Effects in Steep 100
Year and Random Waves.
Appendices.
Appendix A: Questionnaire on Modelling/
Simulation of Wind Environments.
Appendix B: Nonlinear Effects in Steep
100-Year Random Waves (Specification)
Proceedings of the 24th ITTC - Volume I
2.
MODELLING / SIMULATION OF
WAVE AND CURRENT
ENVIRONMENTS
2.1 Wave Spectra
Commonly used models for specification of
ocean wave spectra, including single-peaked as
well as two-peaked spectra, have been previously described in the 22nd and 23rd ITTC.
Among newer results, three particular topics
are addressed here: Multi-peaked spectra (two
and more peaks); spectral evolution; and the
decay of the spectral tail (f -4 or f -5).
Multi-peaked spectra are being observed in
various full scale measurements in several parts
of the world. The effect may be quite important
in resulting responses. Normally, such spectra
are modelled by a sea plus swell twocomponent representation, but more than two
peaks have also been observed in West Africa
waters (ISSC, 2003).
The evolution of a narrow-band spectrum
over a relatively short travel distance (typically
20 – 40 wave lengths) has been documented
numerically by the nonlinear model by Dysthe
et al. (2003). This is relevant for spectral
homogeneity in large wave basins and tanks,
and qualitatively confirms earlier measurements by Stansberg (1995).
The shape of the spectral tail is commonly
modelled as f -5. However, recent data indicate
that f -4 may in many cases be a better representation, although it may depend on the case
(ISSC, 2003). New results by Torsethaugen
and Haver (2004) show exponent values
between 4 and 5, and they recommend 4 as a
conservative choice. The numerical evolution
model by Dysthe et al. (2003) fits very well
with an exponent of 4.
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2.2 Nonlinear and Extreme Waves
Nonlinear and Non-Gaussian effects in
steep deep-water random waves have been
documented through a number of studies
during the recent 10 - 20 years. Second-order
modelling has become a quite well established
tool, for which recent results have been
presented by Prevosto and Forristall (2002),
Myrhaug et al. (2003) and Stansberg (2003).
Comparisons to available full scale data on
crest heights show reasonable agreement with
second-order predictions. Comparisons to
model test data (with unidirectional waves)
show slightly higher measured crests.
Some unexpected high waves and crests
observed in field data (Haver, 2001) as well as
in laboratory measurements (Stansberg, 2002),
so-called “Freak” or “Rogue” waves, are difficult to explain or describe by second-order
theory. These are normally considered a result
of higher-order effects, but the topic is still not
finally resolved for use in statistical prediction
models. One possible physical mechanism, discussed in the latter reference, is self-focusing
due to nonlinear modulation in energetic wave
groups. Theoretical modelling of extremes,
taking into account higher-order or fully
nonlinear effects, are presented in Onorato et
al. (2001 and 2004), Xue et al. (2001), Baddour
and Parsons (2003), Krogstad et al. (2004).
A number of papers on the topic of extreme
waves were presented at the Rogue Waves
2004 Symposium (Olagnon, 2004). During the
MaxWave project (Nieto Borge et al., 2003),
several papers were published on the analysis
of large waves and wave groups from spaceborne radars and in-situ buoys. The modelling
of extreme waves in random records is
addressed in more detail in Section 13 of this
report.
The deterministic reproduction of selected
extreme wave events, or “transient waves”, is
an approach used to focus on those actual
events only, without having to run full irregular
wave records. Clauss et al. (2002) presented
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experimental results from application of a
specially designed wave packet on a ship. A
related technique was used by Pastoor et al.
(2003) in a fully nonlinear numerical study.
One challenge in this approach is how to select
the “proper” wave event. Stansberg et al.
(2004) picked out random extreme events from
long irregular records in a wave basin, thus
obtaining a statistical ensemble for robust
estimates of deck impact loads in a storm sea
state.
2.3 Active Wave Absorption
In open sea, the wave energy reflected by a
ship or a marine structure is naturally dispersed
in the environment. In a confined domain such
as a wave flume or basin, this energy is rereflected by the wave maker and basin walls,
inevitably corrupting the incident sea state, and
reducing the useable duration of the test.
Implementing active absorption techniques in
the wave maker control system can reduce this
effect. Such techniques were first used in
coastal engineering facilities, because of the
large reflection coefficients of massive structures such as dikes or breakwaters. In ocean
engineering applications, models are usually
less reflective, but there is also a need for the
elimination of spurious reflected waves, to
maintain a good control of incoming waves in
long duration tests. Another interest of active
absorption systems is to reduce the waiting
time between tests in large basins, by damping
residual waves after the end of the wave generation sequence. On the other hand, it may
have an influence on repeatability of incident
wave conditions for different model configurations, as the actual wavemaker motion will
depend on reflected waves, and thus on the
model characteristics.
Models for active absorption need feedback
from the actual free surface flow in the basin.
This is accomplished by exploiting wave height
measurements right on the wave maker surface
(Van Dongeren et al., 2001 and Schäffer,
2001), or a three wave probe array upstream of
the wave board (Frank et al. 2003). The use of
the latter arrangement is restricted to the
absorption of waves with normal incidence on
the wave maker. Other techniques are based on
the measurement of the instantaneous fluid
loading on the waveboard (Chatry et al. 1998)).
The performance of 2D wave absorption
techniques can be assessed by determining the
reflection coefficient of the device. Van
Dongeren et al. (2001) announce a wave
amplitude reflection coefficient close to 5% for
short waves. Frank et al. (2003) focus on the
deviation of measured incident wave spectra
from given targets to illustrate the performance
of their system. In 3D, more elaborate methods
rely on communication between neighbouring
waveboards.
Although offshore or ocean engineering
basins have been equipped in recent years with
segmented wave makers with active absorption
capabilities, the performances and operability
of such systems in short crested seas remain to
be documented, as only qualitative results on
this matter have been published so far. Stability
problems in the motion control of segmented
wavemakers fitted with active absorption have
also been reported. This indicates that active
absorption in ocean engineering basins
equipped with segmented wavemakers is not a
fully mature technique.
2.4 Reduction of Parasitic Effects in
Laboratory Basins
These effects fall into the following categories:
Effects of side walls in the generation of
oblique waves
Generation of unwanted free waves due to
wavemaker nonlinearities
Beach “nonlinearities” - free long waves
from the beach.
Excitation of seiching modes by wavemaker transients
Generation of a return current
Proceedings of the 24th ITTC - Volume I
Sidewall Effects. One of the first published
first order theories for the generation of oblique
waves is due to Biésel (1954), who derived the
basic snake’s principle, in which the basin is
considered to be of infinite extent in the transverse direction, i.e. without sidewalls. In such a
situation, the effect of sidewalls is not
accounted for, and the useable area of the basin
is reduced, with a shape close to an isosceles
triangle based on the wavemaker, and an area
inversely proportional to the angle of propagation of the generated wave. In Dalrymple
(1989), the influence of sidewalls is taken into
account in the specification of wavemaker
segments amplitude and phases, in an optimisation process, the objective function being
associated with the homogeneity of the generated wave on a transverse line at a given
distance from the wavemaker. In this approach,
the useable zone has a rhombus shape of the
same width as the basin. In Boudet and Pérois
(2001), the wave quality is optimised on a
circle of arbitrary radius and position in the
basin. Both methods lead to wider useable
zones, the position of which may be parameterised. Such wavemaker motion control
methods may be combined with second order
prediction and minimization of free wave
generation, see below.
Generation of Unwanted Free Waves Due
to Wavemaker Non Linearities. When operating a wavemaker with a control law issued
from a linearised theory, spurious wave
components are observed, due non linearities.
These non linearities are present both in the
wavemaker boundary condition and in free
surface conditions. In the latter case, non linear
effects called bound waves locally correct the
first order propagating solution in order that
fully non linear conditions are satisfied. They
are part of the complete propagating wave, and
must not be considered as a corruption of the
generated wave. On the other hand, higher
order waves emitted from the physical wavemaker are an artefact of the generation process
in which the wavemaker surface is moving,
instead of being a stationary flux surface as in
linearised theories. The result is that ‘free’
259
waves (i.e. propagating at their own phase
speed, and not bound to the first order solution), are emitted. These waves represent a
pollution of the wave system. Their amplitudes
depend on water depth, wavemaker type and
motion amplitude. They can be of the same
order of magnitude as bound waves. In certain
cases, both bound and free waves can be
predicted explicitly by second order theories.
Such theories are especially useful for the
prediction of free waves, as they allow the
determination of corrections to first order
wavemaker motions, in order to minimise free
wave generation. These matters are discussed
further in Section 12.2 dealing with Wave
Generation in Shallow water.
A complete two dimensional second order
solution for arbitrary planar wavemakers
including irregular wave generation was
presented by Schäffer (1996).
Suh and Dalrymple (1987) extended the
theory for three dimensional regular oblique
waves, for which the free wave amplitudes can
be as large as Stokes second order bound
waves, to the generation of directional spectra.
Schäffer and Steenberg (2003) produced a
second order theory for irregular short-crested
wave generation. These studies, just as in
Biésel (1954), were based on the assumptions
of a basin of infinite extent in the direction
parallel to the wavemaker, and semi-infinite in
the direction perpendicular to the wavemaker.
These assumptions reduce the possible
usefulness of these models to generation at low
angles, since wall reflection will completely
modify the linear wave system generated by the
snake principle.
A complete second order solution for the
generation of oblique waves by a snake
wavemaker motion in a basin was developed
by Li and Williams (2000). In Bonnefoy et al.
(2003), another complete second order theory
for oblique wave generation in a basin was
presented, demonstrating particularly that the
new expressions for second order free waves
allow any first order generation to be accounted
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for. Especially, the amplitude of second order
free waves generated using the snake’s
principle or Dalrymple’s method were
compared, showing that the use of Dalrymple’s
first order theory leads to free wave of larger
amplitudes than in the case of snake motion.
Bonnefoy et al. (2003) then demonstrated how
those free waves could be eliminated for any of
the first order wavemaker motion, by deducing
a correction to that motion, cancelling the
predicted free waves. These demonstrative
calculations were run using a second order time
domain model based on spectral theory
developed by Le Touzé et al. (2002).
Further developments should be devoted to
extend this type of method to the second order
control of irregular directional waves using
advanced Dalrymple-type wavemaker control.
Excitation of Seiching Modes by Wavemaker Transients. Another source of spurious
waves lies in the transient stage of the wave
generation process, which will excite all natural
modes of the basin. Low frequency modes
damp out very slowly and last throughout the
test and beyond. Molin (2001a) presented a 2D
theory for determining the amplitude of the
first excited mode from the wavemaker motion
history. A correction aiming at generating an
‘antimode’ was proposed. The concept was
validated both in numerical models and in a
physical wave tank. Although elegant and
efficient, this approach does not seem to be
have been applied in other facilities.
Generation of a Return Current. Following
Stokes’ works, it is well known that in water
waves propagating in an inviscid fluid, a steady
drift velocity of fluid particles is obtained, in
the direction of wave propagation. This drift
velocity appears at second order in wave
steepness, in a Stokes expansion of the
solution. In a finite length flume, the associated
mass transport is balanced by a return current
which for long tanks and inviscid fluids
appears as a uniform flow towards the
wavemaker.
In a viscous fluid, boundary layers are
generated at the free surface and at the bottom.
Longuet-Higgins (1953) derived a second order
analysis
of
these
boundary
layers,
demonstrating that steady effects were obtained
at the outer limits of the boundary layers. At
the bottom, it is a steady drift, and at the free
surface, a steady shear equal to the vertical
gradient of the Stokes drift. Longuet-Higgins
(1960) gave experimental confirmation of the
analysis. Following this, Baklouti et al. (2003)
conclude that a free surface residual current of
growing thickness and decreasing intensity
should be observed in the wave direction after
wave generation has been stopped. They
provide experimental and numerical evidence
that this phenomenon is effectively observed
for low amplitude waves, while at larger
amplitude, a residual current a few millimetres
thick is observed, flowing from the flume
beach to the wavemaker. Experimental results
were obtained by detailed analysis of PIV
velocity measurements. For the numerical part
of the study, a free surface Navier Stokes
solver was implemented, extreme care being
taken in the grid generation and in the selection
of computing parameters, in order to correctly
capture the subtle free surface boundary layer
effects at the origin of the observed
phenomenon.
2.5 Current Generation
Current is generated by re-circulating the
water, either in the basin or outside the basin.
Typical aspects for the generation of currents
depend on the system used for circulating the
water. In general current generation in shallow
water will be easier than in deep water because
of the smaller volume of water that needs to be
displaced. The following aspects play a role in
generation of current:
Horizontal profile: the generated current
needs to be constant over the width of the test
section
Vertical profile: the generated current needs
to follow the specified vertical profile as close
Proceedings of the 24th ITTC - Volume I
as possible.
Turbulence: current turbulence is generally
defined by:
τ= Stdev(Vc)/mean(Vc).
This turbulence should ideally match the
prototype situation, but in practice the
prototype turbulence level is not known.
Furthermore, as viscosity does not scale
properly the model scale turbulence can be
expected to be higher than the prototype
situation. In general turbulence levels of around
5% are considered acceptable. However,
evaluation of the standard deviation only is not
sufficient. A spectral analysis of measured
current velocity should be performed to
evaluate the current turbulence near the natural
frequencies of the mooring system, to avoid
large (unnatural) effects on the low frequency
mooring behaviour (Buchner et al. 2001).
In some cases a highly sheared vertical
current profile is specified, for a Hurricane
inertial current for example. It is important to
realise that generating such a sheared current in
a model basin can lead to extreme turbulence
levels due to the viscosity of water at model
scale, unless special precautions are taken to
minimise the turbulence.
3.
MODELLING AND SIMULATION OF
WIND ENVIRONMENTS
3.1 Modelling in Wave Basins
Wind loading is one of the important
environmental loads to be considered for the
design and analysis of offshore structures,
especially in the design of station keeping
systems.
Wind velocity itself consists of mean and
fluctuating parts in space and time, and the
induced wind load has mean and fluctuating
parts accordingly. Most work on physical
modelling of the wind environment in wave
basins has been confined to simulating wind
261
forces rather than the wind field itself. Since
the Froude scaled velocity does not reproduce
the target wind force correctly when simulating
mean wind forces, a calibration curve is needed
to obtain the corresponding wind speed. Froude
scaling is used to generate the wind speed at
model scale, under the assumption that the
above water shape of ships and offshore
structures are insensitive to Reynolds number.
However, it seems that there is no clear
similitude law for the physical modelling of
wind even though there are many unknown
factors that have an affect at model scale, such
as wind driven currents, the splash of waves
due to strong winds and shielding effects, etc.
Up until now, the following three methods
have been used for generating wind forces in
model basins; arrays of wind fans, wind fans
directly attached to the model, and springweight systems.
The use of arrays of fans seems to be the
most popular method and it is widely accepted
in most of the commercial wave basins. The
array system generates wind over a wide area
where the model is located, and computerised
control systems are employed to obtain target
wind velocities (mean and fluctuating).
The method of using fans mounted on the
model deck above the water was devised to
generate wind loads by Huang et al. (1993).
Bobillier et al. (2000) used the same concept.
The fans onboard approach simulates wind
loads by controlling the pitch angle of the
blades of a variable pitch fan run at constant
speed.
It has been reported that spring systems can
be effectively used for simulating equivalent
wind forces instead of using wind fans (Brown
et al., 1998).
Since the wind induces damping effects on
floating bodies as well as wind loads,
modelling wind environments should aim to
reproduce both wind loading and damping
effects simultaneously as closely as is
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The Ocean Engineering Committee
physically possible. In this context, using fans
mounted on the model deck, or using spring
systems, may fail to simulate the damping
effects due to wind. Furthermore, mechanical
systems cannot simulate cases in which the
direction of wind force changes, such as when
a floating structure rotates, as realistically as a
wind field can. The squall effect, where the
wind load suddenly changes its magnitude and
direction, is one of current issues in simulating
wind forces in model basins. This was
discussed in detail by Buchner et al. (2001).
In harsh environments, the nature of the
wind field above sea water level may
significantly affect the wind loads. Mizutani et
al. (2003), using the PIV technique, measured
the air-flow field in strong wind conditions,
close to water surface, over actual wind waves.
It was found that airflow separation and a
large-scale vortex are generated in front of the
breaking wind driven waves.
The shielding effect due to neighbouring
structures is a matter of concern for simulating
wind forces in model basins if the model test is
focused on multiple moored structures.
Buchner and Bunnik (2002) measured wind
forces on models of a FPSO and offloading
tanker in tandem offloading conditions using a
segmented model consisting of three parts. It
was found that the shielding effect is
significant, and that it is large on the bow part
and small on the stern segment. The shielding
effect is mainly influenced by the size of the
wake, the magnitude of the wind velocities, and
the relative distance between the FPSO and the
offloading tanker. Suzuki et al. (2003)
measured wind loads on the columns of a semisubmersible-type VLFS. They found that the
wind load might cause a problem in the
mooring design for the structure.
Some other papers have reported model
tests on floating structures under combined
wave-current-wind environments but their
description in the context of wind modelling
was not sufficiently complete to be included in
this review.
3.2 Simulation of Wind Forces
Some CFD studies have been applied to the
estimation of wind forces (Witbread et al.,
1997 and Aage et al., 1997). Although good
agreements with wind tunnel tests were
reported, CFD is not yet competitive with
experiments due to time, memory and
processing resources required for setting up the
computational meshes and solving the
equations over the problem domain. Bjørset et
al. (2003) compared the drag coefficients
predicted for two-dimensional circular and
triangular cross sections using CFD with wind
tunnel test results. They obtained satisfactory
agreements for the drag coefficients but
overestimated the shedding frequency.
Most of numerical simulations of wind
forces use empirical formulae proportional to
the square of the wind velocity, and the
harmonic superposition method for generating
time series for the wind velocity. In a different
approach, a time series generation method for
non-stationary wind, wave and current has been
presented by Mo and Reinholdtsen (2003). The
time series were generated by filtering white
noise using an auto regressive moving average
(ARMA) model.
The effects of wind on the stability of a
moored FPSO were investigated by Lee and
Choi (2000) but they considered only the mean
wind force in the analysis.
3.3 Questionnaire on Modelling/Simulation
of Wind Environments
A questionnaire has been distributed to
collect state of the art information on
techniques and procedures for the modelling
and simulation of wind environments in model
basins. Thirteen institutes answered the
questionnaire. Details of the questionnaire are
presented in Appendix A. The results of the
questionnaire are summarised below.
Proceedings of the 24th ITTC - Volume I
Most institutes use arrays of fans to
simulate wind forces caused by the wind field.
Spring-weight-wire systems seem to be used as
a complementary method. Most of all the
institutes adopt RPM control for adjusting wind
forces. About half of the institutes simulate
wind spectra in their basins.
The force matching method and the Froude
scaling method are used equally for generating
wind forces. Wind drag coefficients are
obtained from wind tunnel tests and other
empirical data but CFD results are not yet
accepted as being sufficiently accurate.
All the institutes involved in numerical
simulations use empirical formula proportional
to square of wind velocity. In the event they
simulate wind spectra, they use the harmonic
superposition method to generate time series
for the wind. Only a few participants consider
non-stationary properties such as squall, which
causes significant changes of wind in time and
space.
3.4 Concluding Remarks
Wind in itself is a very complicated
physical phenomenon, fluctuating both in time
and space, and wind induced forces are
inherently nonlinear viscous forces that are
very sensitive to scale effects. Most of the
model basins, however, have concentrated so
far on generating mean wind forces. Arrays of
fans, deck mounted fans and spring wireweight systems have been used for this
purpose.
As installation sites for floating structures
move into regions of deeper and deeper water,
the importance of wind forces is becoming
recognised as a serious issue more than ever
before. It is becoming accepted that model
scale winds should represent damping effects,
shielding effects and gust effects such as
squall, as well as mean wind forces, to ensure
the satisfactory safety assessment of moored
bodies using model tests. In this context, there
263
is a requirement for more studies aimed at
developing methods to achieve a realistic
physical portrayal of the sophisticated nature of
wind mentioned above at model scale.
It can be argued that the array of fans is the
most promising amongst the three methods
currently used, for the following reasons:
Simulating the wind field can model not
only the forces but also damping and shielding
effects,
Simulating the wind field is the method
most capable of accounting for the response of
large weather-vaning models,
Only the method of simulating the wind
field provides external forces without
unphysical interference under gust or squall
conditions.
It is a challenge to develop a standard
procedure for modelling the wind environment
as closely as possible to reality. In order to
achieve this, more basic and systematic
experimental data on wind forces, damping and
shielding effects should be collected through
further ITTC comparative studies since there is
not yet sufficient data or understanding of wind
physical mechanisms at model scale.
4.
PREDICTING THE BEHAVIOUR OF
BOTTOM-FOUNDED STRUCTURES
4.1 Introduction
Many types of bottom founded structures
have been designed and installed over the years
but they fall broadly into two main categories
with respect to the dominant flow phenomena
involved and how they are modelled and
analysed. The first category is comprised of
structural elements that are slender with respect
to the characteristic wave of the sea
environment, and their behaviour is heavily
influenced by viscous effects. These are chiefly
dealt with by empirical approaches, notably the
Morison equation (Morison et al., 1950) and its
The Ocean Engineering Committee
264
variants,
although
more
sophisticated
approaches have been proposed, e.g. Rainey
(1989) and Sarpkaya (2001). Members of the
second category are large enough to modify the
ambient wave field, are largely insensitive to
viscous effects, and are approached using
potential flow theory. The techniques are
similar to those used to predict the loads on
conventional ship forms described in previous
reports of the ITTC Loads and Responses
Committees. A third category includes all those
structures that are a hybrid of the first two.
The basic Morison equation describing the
inline force, f, on a fixed structure in an
ambient periodic flow of undisturbed velocity,
U, takes the form
f = 12 ρAC DU U + ρVRU& + ρVR C AU&
(4.1)
where,
A is the projected area VR is a reference volume
enclosing the object and CD and CA are
empirical coefficients referred to as the drag
and added mass coefficients. The first term on
the right hand side of the equation, the drag
term, is associated with viscous effects such as
flow separation and vortex shedding. The
second term, the Froude Krylov term, is
associated with accelerating the displaced fluid
with the ambient flow and disappears if the
body is oscillating and the flow is quiescent.
The second and third terms combine to form
the inertia term with an inertia coefficient CM =
1 + CA. If the body moves with a velocity, u, in
response to the flow the Morison equation
becomes
f = 12 ρACD (U − u )(U − u )
− ρV C u& + ρV C U&
R
A
R
(4.2)
M
The coefficients are functions of the
Reynolds number, the Keulegan Carpenter
number (UmT/D) and the surface roughness of
the body, and a great deal of work has been
carried out to determine the force coefficients
suitable for bottom founded structures, e.g.
Sarpkaya (1991) and Chaplin et al. (1994).
For use in linear frequency domain
calculations the nonlinear drag term is
linearised with the linearised drag coefficient
being selected to minimise the error over the
time series for f, as discussed by Wolfram
(1999).
4.2 Studies on bottom founded and other
fixed structures
Studies on bottom founded structures can
be further classified generically in the context
of their type, compliant or rigid for example, or
the analysis applied to them, such as linear or
non-linear. In addition, they can be referred to
with respect to phenomenological or
environmental conditions such as separated
flows, diffracted flows, shallow water, green
water, and impact forces from steep and
breaking waves. A review of the literature
shows the applications of bottom founded
structures and the approaches taken to
modelling and analysing them are myriad and
too wide ranging to be comprehensively
covered in the present work. Instead a
representative sample of state of the art
examples that have been recently published
will be reviewed. This also includes works on
fixed bodies in deep water.
4.3 Small Volume (Morison Type)
Structures
Vertical Cylinders. A large number of
authors describe experimental and numerical
work done using vertical cylinders. Zaman and
Baddour (2004) studied the loading of an
oblique wave-current field on a slender
cylinder in a 3D flow frame. The kinematics of
the flow field were formulated using the wavefree uniform current and the current-free
waves. These were used to calculate the loads
imparted on a bottom mounted slender
cylinder. Results were compared to three
available models, including the superposition
principle from API, and Morison.
Proceedings of the 24th ITTC - Volume I
Jacket/Jackup Structures. The dynamic behaviour of offshore platforms subjected to
wave loading, has been studied by
Kuntiyawichai et al. (2004) using Wavelet and
Finite Element analysis. They present results
for the effects of wave velocity, height, and
period on platform behaviour. Wave velocity
was shown to have little effect on the response
of braced caissons, while wave height and
period have more effect.
Results for the dynamic response of a
jacket structure subject to simultaneous wave
and earthquake loads have been presented by
Etemad et al. (2004). They modelled the
soil/pile interaction by the Konagai-Nogami,
and the structure using a finite element method.
They found that with the longitudinal components of the earthquake and wave in the same
direction, the wave may reduce the platform
response. When they are in different directions,
an increase in response may be seen.
Detailed laboratory measurements have
been made by Cox and Scott (2001) of the
instantaneous free surface elevation in front of
a fixed deck and the free surface elevation,
velocity, and overtopping rate at the leading
edge of the deck. The study showed that the
exceedance probabilities for the normalised
maximum instantaneous overtopping rate and
the normalised overtopping volume were predicted by a simple exponential curve.
Numerical investigation of the wave impact
loads on the deck of the Ekofisk platforms have
been described by Iwanowski et al. (2002).
They used three theoretical wave models: the
Airy, modified Airy with Wheeler stretching,
and 5th order non-linear Stokes models. These
approaches were applied to various wave
loading models including Navier-Stokes (VOF
method) and a Morison/momentum displacement method.
Cox and Ortega (2002) describe a smallscale laboratory experiment conducted to
quantify a transient wave overtopping a horizontal deck fixed above the free surface.
265
Detailed free surfaces and velocity measurements were made for two cases with and
without the deck structure to quantify the effect
of the deck on the wave kinematics.
A statistical model of wave overtopping
volume and extreme wave rates on a fixed deck
has been developed by Mori and Cox (2003).
The probability density function for the volume
and rate of overtopping water are formulated
based on the truncated Weibull distribution.
The model prediction of exceedance probability of deck overtopping gave qualitatively good
agreement with laboratory data for large overtopping values.
Daghigh (2002) has used a modified
Morison type formulation from DNV regulations to estimate hydrodynamic forces on an
equivalent pile representing the slender bodies
of Jacket / Jack-up structures.
A time domain Finite Element analysis of
the dynamic response of offshore towers due to
wave forces has been carried out by Mostafa
and El Naggar (2002). The tower response was
calculated with emphasis placed on the effects
of dynamic pile-soil interaction for a range of
wave conditions.
A large-scale experimental study of wave
loading on offshore platform decks with a
focus on different deck elements has been
presented by Sterndorff (2002). A range of
wave types, air gaps, and inundations have
been tested. Results provide hydrodynamic
load coefficients to wave-in-deck programmes
based on change of fluid momentum and a
CFD analysis using the VOF method.
Cassidy et al. (2001) investigated issues
relating to the dynamic assessment of jack-ups.
Consideration has been given to the nonlinearities in the structure, foundation, and
wave loading. The spectral content of wave
loading has been considered using New Wave
theory, and the importance of random wave
histories shown by constraining the deterministic New Waves into a completely random
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background. A method for determining shortterm extreme response statistics for a sea-state
using Constrained New Waves is detailed.
4.4 Large Volume (Diffraction Type)
Structures
Vertical Cylinders. Rahman and Mousavizadegan (2004) have presented results for the
wave-induced second-order time independent
drift force and moment on fixed vertical cylinders of varying depth to radius ratios. The
analytical technique determined the first-order
velocity potential considering the interior and
exterior regions. The numerical solution used a
higher order panel method in which the kernel
of the integral equation was modified to make
it non-singular and amenable to solutions by
the Gaussian quadrature formula.
Kim et al. (2003) have presented a time
domain numerical method to study the diffraction of nonlinear Stokes waves by a vertical
circular cylinder. They developed a new
scheme to match the 2D far field to the 3D
diffracted wave in the near field. Results for
diffraction of Stokes waves of various steepnesses have been investigated. The wave
elevation and run-up compare favourably with
theoretical results.
An experimental investigation of wave runup on a fixed, vertical, circular cylinder, has
been presented by Morris-Thomas et al. (2002)
who focus on wave steepness and body slenderness. The zero-, first-, and second-harmonic
components of the wave run-up are compared
with WAMIT. Linear diffraction prediction of
the first-harmonic component is reasonable,
however, the zero- and second-harmonics are
not well captured. The importance of higherorder wave steepness effects on the wave runup is demonstrated.
Experiments in which wave run-up has
been simulated using a surface-piercing cylinder driven with a horizontal motion have been
undertaken by Retzler et al. (2004). In the
experiments 112 wave gauges recorded the
surface elevation at high frequency. Non-linear
components at temporal and spatial frequencies
up to the third harmonic were identified. The
results compared well with those made using
conventional linear potential theory.
Laboratory measurements of the run-up on
vertical cylinders from sets of random waves
have been made by Indrebo and Niedzwecki
(2004). They used a two parameter Weibull
distribution function utilised empirical coefficients to model surface wave run-up. The
analysis focussed on interpreting the tails of the
probability distributions by carefully fitting the
analytical model to the measured model data.
Nielsen (2003) presented results from a
comparative study on numerical predictions of
the nonlinear wave amplification near a single
fixed column, also including experimental data.
A significant scatter was observed, and it was
concluded that predictions were not robust.
Based on parts of the same experiments, the
wave disturbance close to a fixed vertical
column has been investigated by Stansberg and
Braaten (2002). Deviations from linear prediction were investigated by experimental and
second order numerical methods using
WAMIT. Model tests were done in regular, bichromatic, and random waves. Significant nonlinear effects were observed, especially in steep
waves. The experimental results showed an
underestimation of wave disturbance by the
linear approach. The second order diffraction
model represents significant improvements,
while there are still some discrepancies in steep
waves. Follow-up investigations by Kristiansen
et al. (2004) show that amplitudes of basic
harmonics are often under-predicted and
second-harmonics generally over-predicted by
second-order theory, but they do not generally
cancel out each other.
Akyildiz (2002) describes an experimental
investigation of pressure distribution around a
large, fixed vertical cylinder subjected to regular waves. The experimental and computational
pressure results were compared and showed
Proceedings of the 24th ITTC - Volume I
good agreement, but tended
approaching the free surface.
to
diverge
The interaction of steep incident waves with
a vertical, surface-piercing column has been
studied by Sheikh and Swan (2003). Their
work was prompted by observed wave impact
damage on the undersides of gravity-based
structures. It has been demonstrated that multiple-column structures, where the individual
diameters lie outside the typical diffraction
regime display an unexpected mechanism that
leads to the scattering of unexpected highfrequency waves. It is shown that the scattering
of these high frequency waves and their subsequent nonlinear interaction with incident waves
has significant implications for the specification of air-gap and deck elevations.
4.5 Compliant Structures
The non-linear dynamic behaviour of a
Double Hinged Articulated Tower (DHAT)
under long crested random sea and directional
random seas has been investigated by Islam
and Ahmad (2003). They took a number of parameters into account for modelling the forcing
functions of the equation of motion, which is
derived by Lagrangian approach. A long
crested random sea was modelled by MonteCarlo Simulation using a P-M spectrum. The
dynamic behaviour was investigated in detail in
terms of various parametric combinations.
A three-leg articulated tower has been
studied by Nagamani and Ganapathy (2000)
using analytical and experimental techniques.
The effects of mass distribution on the variations of the bending moment and the deck
accelerations have also been presented. The
model was tested in a 2m flume for various
wave frequencies and wave heights of regular
waves.
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4.6 Second Order and Fully Non-Linear
Analysis
In Ferrant et al. (1998), a fully non linear
time domain boundary element model and a
third order frequency domain semi-analytical
formulation were applied to the study of higher
order load components on a bottom-mounted
cylinder in regular waves. In the low steepness
regime, fully nonlinear simulation results
recover the behaviour of the third order analysis, while for larger amplitudes, sensible deviations from perturbation analysis are exhibited
by fully non linear simulation results, a result
in full agreement with the experimental work
of Grue and Huseby (2002).
Büchmann et al. (2000) used a fully nonlinear time domain boundary element model
and a second order time domain boundary
element model to study wave and current
induced run-up on a large fixed body. The
results from the two models agree well in the
low Froude number and low wave steepness
regimes. For higher Froude numbers and wave
steepnesses, the fully nonlinear approach
provides the most reliable results.
4.7 Non-Linear Wave Amplification, Green
Water and Impact Forces of Steep and
Breaking Waves
A number of authors have examined issues
related to Gravity Based Structures (GBS),
particularly non-linear wave amplification and
its effect on green water deck impact loads
Van Iperen et al. (2004) used a 3D radiation/diffraction program and compared their
results with experimental surface elevation
data. The objective was to determine deck elevation required to avoid green-water impact
under extreme storm conditions. They
attempted to predict extreme crest heights from
diffracted spectrum using a Weibull distribution. Wave breaking was seen to be a factor
limiting crest heights. The feasibility of using
numerical simulations of wave enhancement,
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supplemented with non-linear corrections for
extreme crest heights was investigated.
Model tests on a GBS platform in extreme
waves have been performed by Stansberg et al.
(2004). A wave realisation comprising 50
extreme wave crests was used, and deck impact
loads were measured. The effects of nonlinear
wave amplification were studied. The scatter in
force measurements demonstrated the need to
take into account the natural variation of
random waves. Significant nonlinear wave
amplification was observed in front of the
deck. The effect of this on deck impact loads
was investigated further in Baarholm and
Stansberg (2004), where a simplified load
model based on the conservation of momentum
was presented and compared to the model test
results. A good agreement was observed..
Molin et al. (2005) investigated highly
nonlinear wave run-up on a vertical bottommounted plate. The phenomenon is explained
by third order interactions between incident
and reflected wave-fields. Resulting focussed
wave elevations on the plate are significantly
higher than those predicted by linear theory,
and may have significant implications on runup and green water effects on GBS and ships in
beam seas.
Most work in this area uses potential theory
or experiments. However, a numerical study,
using a Volume of Fluid method to investigate
wave run-up and green water impact on the
deck of a GBS used as an LNG terminal has
been presented by Loots and Buchner (2004).
formulation for incoming waves is accounted
for in the formulation of the general problem of
wave-body interaction in real fluid. In this formulation named SWENSE (Spectral Wave
Explicit Navier-Stokes Equations), the resulting solution satisfies the initial fully non linear
boundary value problem without approximation, with significant advantages in terms of
performance and accuracy over direct RANSE
equation solvers. In (Luquet et al 2004), the
initial 2D formulation for stationary bodies is
extended to 3D ship-wave interactions with
forward speed.
Graham and co-researchers (see Kendon et
al., 2004, for example) have developed an
approach in which they treat the irrotational
and vortical components of flow as separate
nonlinearly coupled equations. The approach
uses a Helmholtz decomposition of the velocity
vector and solves the potential and rotational
components using a classical boundary element
technique and a high order spectral/hp code
applied on a Eularian mesh, respectively (see
Section 8.4 for further details). The technique
has been applied to a number of problems
including circular cylinders in uniform and
wave flows, and also to floating bodies
(Kendon et al., 2003). Good agreement was
obtained between the computed results and
other theoretical and experimental studies.
Such formulations may be especially effective for simulating wave body interaction
problems in which the flow characteristics are
intermediate between purely diffracting (large
volume) regime, and small volume, detached
flow regime.
4.8 Hybrid Potential/CFD Modelling
4.9 Miscellaneous
Original CFD-potential flow hybrid approaches recently appeared, showing interesting perspectives for the efficient simulation of
wave-body interactions, incorporating viscous
effects.
In Ferrant et al. (2003), a potential splitting
approach in which a fully non linear potential
The determination of wave forces on multiple structures in close proximity has been
investigated by Chakrabarti (2000), who uses
an analytical/numerical approach modelling
multiple vessel interaction and wave scattering.
The technique is based on an extension of the
semi-analytical multiple vertical cylinder
Proceedings of the 24th ITTC - Volume I
analysis, achieved by combining the direct
method of linear diffraction with a semi-closed
analytical method of multiple scattering developed fro an array composed of vertical
cylinders.
Forristall (2004) discusses the present
inadequacy of knowledge on the effects of
shallow water wave height limits in relation to
study of environmental forces on LNG terminals. He indicates that additional laboratory and
field measurements are necessary before depth
limited waves can be confidently specified.
Another area that is receiving increasing
attention is the prediction of wave loading on
the towers of offshore wind turbines. Trumars
et al. (2003) studied wave forces and moments
on a mono-pile support for an offshore wind
energy converter, using the Morison equation.
A second order time domain wave model was
used to determine wave motion. The calculated
force and base moments were found to be
highest at the crest. Okan et al. (2005) investigated a number of different wave theories for
use with the Morison equation to investigate
the loading on wind turbine structures in
shallow water and steep waves.
Byrne and Houlsby (2002) explore various
structural options that may be used for offshore
wind turbine application. Experiments investigating the different loading conditions are
explored. A theoretical approach that describes
the experimental results in a way that can be
implemented in typical structural analyses
programs is outlined. Details of a major
research program into developing the necessary
design guidelines for foundations for offshore
wind turbines are described.
5.
PREDICTING THE BEHAVIOUR OF
STATIONARY FLOATING SYSTEMS
Floating structures play an increasingly
important role within ocean engineering. A
major part of this takes place within oil and gas
production and related activities, which goes
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into deeper and deeper waters but also represents new challenges in shallow waters. Other
areas include floating islands (VLFS) and
renewable energy production from wind and
waves. New frontiers require systems exposed
to various types of design conditions depending
on the actual location, ranging from harsh
weather with extreme waves, to more benign
conditions but with strong deep-water currents
or sudden wind loads. Cost-effective solutions
are sought, and new or modified concepts are
being developed. Challenges are also related to
the accurate prediction of floater motions in
mild operational conditions, especially during
installation or when two or more structures are
interacting. All these new factors imply that
tools for analysis and prediction of system
behaviour need to be constantly updated and
verified for the new applications, and model
testing is crucial for the software validation and
for the final design verification
In this section, recent challenges and developments within the following topics are
reviewed:
New concepts and challenges
Coupled analysis
Green water, air-gap, slamming
Hydrodynamic multi-body interactions
Very large floating structures (VLFS)
Energy systems
5.1 New Concepts and Challenges
Monocolumn floater designs, which have
much shallower drafts than traditional spars,
have been described and analysed in Chou et
al. (2004), Torres et al. (2004), and Syvertsen
et al. (2004). Such floaters have some
favourable features compared to conventional
systems. At the same time, stability and
vertical motion characteristics (heave, roll and
pitch) need to be thoroughly investigated. The
above references include some numerical and
experimental results showing that details
determining damping and stability parameters
can be improved by use of model testing.
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Moon-pools can also be included, for which
numerical hydrodynamic prediction can be a
challenge. Analytical formulations for moonpools with vertical sides have been proposed
by Molin (2001b). A method to handle this
problem by means of a numerical “lid” was
presented by Lee et al. (2002).
Smaller floaters such as mono-buoys
require particular attention in numerical
modelling, due to the relatively large weight
contributions from moorings and risers. A
coupled analysis study was carried out in
Cozijn et al. (2004), while Fernandes et al.
(2004) presented a frequency domain study.
Spar buoy concepts have received
increasing attention over the last few years (see
for example, Stansberg et al., 2001) However,
require improved vortex induced motion (VIM)
control in currents as discussed, for example,
by Smith et al. (2004) and Irani et al. (2004).
This problem is described in more detail in
Section 7 of this report.
and Grant (2004). Compared to deep water,
there are special effects that need to be taken
into account and investigated in detail. Slowdrift surge and sway forces may be dominated
by off-diagonal QTF contributions not included
in Newman’s approximation. Multi-body
hydrodynamic interaction effects may also
differ significantly. In experimental studies,
unwanted basin effects in the wave generation,
such as “parasitic waves”, may affect the
results, and need to be taken into account or
reduced. This is addressed in more detail in
Sections 2.4 and 12.
Offloading, transport and installation
operations are other areas where model testing
play an increasingly important role in
validation as well as in demonstration of
effects. See e.g. Tahar et al. (2004). In
operations,
multi-body
hydrodynamic
interactions must often be taken into account,
described in a later section.
5.2 Coupled Analysis
For deepwater systems, Steel Catenary
Risers (SCR’s) are often a subject of
investigation. They require small top-end
motions for relatively short wave periods (10 –
12s) to avoid fatigue problems, which
influences the actual floater design (e.g. deeper
draft), which, in turn, should be verified by
model tests. Similarly, higher payload demand
may require deeper drafts. Submerged (hybrid)
riser solutions have also been considered, for
example, by Fernandes et al. (2003).
In the design verification of ultra-deep
water systems, model testing must be done by
the use of truncated mooring and riser systems
and integrated with advanced numerical
simulations, due to model basin depth
limitations. This topic is described separately
in Section 9.
Recently, increased attention has also been
focussed on floater hydrodynamics in shallow
water due to the development of offshore LNG
terminals, see for example, Naciri et al. (2004),
Over the last five to ten years, so-called
coupled analysis tools have been developed
and established for the study of global
performance of floater systems. This advanced
analysis approach takes into account the full
dynamical coupling between floater motions
and the forces from individual mooring lines
and risers, normally carried out in the time
domain. A review of the method is presented in
Ormberg et al. (2005). A number of new case
studies have been recently carried out,
including verification against other tools and
against experiments. Luo et al. (2004) and
Steen et al. (2004) presented results for an
FPSO system and a Spar system, respectively,
both in 900m water depth. A similar analysis
was carried out in Zou et al. (2004) for a TLP
in 1800m depth. Details of the numerical
modelling in the latter case were presented by
Ormberg et al. (2003). Roveri et al. (2004)
carried out a coupled analysis on a semisubmersible, while Cozijn and Bunnik (2004)
analysed a CALM buoy. In the latter case, the
Proceedings of the 24th ITTC - Volume I
coupled approach may be particularly relevant
due to the relatively large forces from lines and
risers on the floater. Coupled analysis is also an
important part tool in hybrid verification
(integration of truncated model test set-up with
numerical simulations), described in more
detail in Section 10.
5.3 Green Water, Air-Gap, Slamming
A
comprehensive
experimental
investigation of green water loads on FPSOs
has been presented by Buchner (2002). The
investigation focused on the relative motions
including nonlinear effects, the details of the
water flow on the deck, and the loads due to
green water on the deck and on the deck
structures. The effects of the bow geometry and
flare on the relative motions and flow on the
deck have been investigated by using several
bow geometries. The pressures on deck have
also been measured and analysed from which it
was concluded that the loading on deck is not
static and that the dynamic contribution is
important.
Soares and Pascoal (2002) have presented
statistics for relative motions at the bow of
FPSOs considering vertical elliptical bows. The
analysis starts with determining the probability
functions that best fit the incoming wave
heights and the crest trough asymmetry, the
vessel motions are characterised, making it
possible to determine that the first source of
non-linearity in the relative movement is
actually due to the waves, and finally the most
important one is then caused by the freeboard
exceedance. The analysis leads to the
probabilities of freeboard exceedance and the
conditional probabilities of exceedance of the
height of green water at the bow.
Nielsen and Mayer (2004) apply a Navier
Stokes solver based on the VOF (Volume of
Fluid) model to calculate the green water loads
on a moored FPSO in head waves. Two cases
are investigated, namely with a vessel
restrained at its mean position and with a vessel
271
moving in waves. In both cases the numerical
results are compared with published
experimental data and the agreement is good.
For the second case, 2D and 3D models were
used to model green water loads and the results
show that 3D effects are small. Other fully
nonlinear predictions were presented by
Barcellona et al. (2003), Greco at al. (2004),
Mori and Cox ( 2003), Yilmaz et al. (2003),
Kleefsman et al. (2004), reflecting a significant
activity in the area.
A simplified engineering tool for green
water loads and bow flare slamming on an
FPSO has been described and compared to
model tests in Stansberg et al. (2004);
Hermundstad et al. (2004). Among the primary
parameters identified are the incident crest
elevation and the water particle velocity
predicted from a second-order random wave
formulation. Promising comparisons to a
Volume-of-Fluid approach for the water-ondeck propagation and loads were also made.
Nonlinear diffraction and flare effects were
investigated in Stansberg and Kristiansen
(2004).
For nonlinear wave amplification and airgap between large-volume platform legs,
results from a comparative numerical study
were presented and compared to experimental
data in Nielsen (2003). A significant scatter
was observed. Comparisons between secondorder free-surface predictions and model tests
were also presented in Stansberg et al. (2005).
Improvements from linear theory were clearly
seen, but also higher-order effects were seen in
steep waves. For wave-in-deck loads on
platforms, a fully nonlinear approach was
described by Baarholm and Faltinsen (2004).
Further works on similar problems are
reviewed within the previous section of fixed
structures behaviour.
5.4 Hydrodynamic Multi-Body Interactions
The main effort in this area has been
focused on the improvement of numerical
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accuracy in predicting motions (global and
local) and wave drift forces when the distance
between two (multi) bodies is small. Boundary
element methods still play the major role in the
numerical analysis of multi-body hydrodynamic interactions.
Numerical overestimation was reported
when using conventional CPM (Constant Panel
Method) by Huijsmans et al. (2001), who
proposed the so called LID method in which
some part of free surface flow between two
adjacent bodies is artificially suppressed in
order to obtain a realistic drift force estimation.
Buchner et al. (2001) addressed the
implementation of a fully coupled retardation
function, which is a prerequisite for
considering hydrodynamic interactions in time
domain simulations. Inoued et al. (2001)
demonstrated that there is an abnormal
sensitivity of drift force to roll resonance
motion for vessels moored side-by-side. Choi
and Hong (2002) applied HOBEM (HigherOrder Boundary Element Method) to the
analysis
of
multi-body
hydrodynamic
interactions and Hong et al.(2002) showed by
model tests that HOBEM gives a very accurate
estimation up to second order except in a very
narrow frequency range where strong
interactions occur due to a Helmholtz
resonance. Hong et al. (2003) also discusses
the capability of HOBEM to analyse multibody hydrodynamic interaction problems.
Time-domain simulation of multi-body effects
in offshore operations were presented in
Reinholdsen et al. (2004).
In Malenica et al. (2005), amplification
effects occurring in the small free surface area
between side by side vessels are controlled
using an approximate method accounting for
non-potential dissipation effects. A new midfield formulation for second order drift forces
on multi-body configurations is also proposed
and validated.
5.5 Very Large Floating Structures.
Although a substantial investigation of
VLFS by the Japanese Government has been
completed, research required for its realisation,
such as the re-expansion plan of Haneda
Airport (Kato et al., 2005), is ongoing. The
hydro-elasticity of VLFS is a longstanding area
of research that has been addressed by many
researchers. Park et al. (2004) showed a design
example of a pontoon type VLFS using hydroelastic analysis based direct analysis method.
Hong et al. (2004) also carried out extensive
hydro-elastic analysis on a pontoon type VLFS
to investigate wave loads and induced
structural stresses for various environmental
and structural stiffness conditions. Seto et al.
(2001)
introduced
practical
numerical
calculation methods for estimating their hydroelastic responses, and numerical analytic
solutions for verification purposes of general
numerical codes for hydro-elasticity were
presented by Peter et al. (2003) and Watanabe
et al. (2003).
Many investigators have studied the
breakwater performance of pontoon type VLFS
in order to reduce the effects of waves on them
(Hong et al., 2002, 2003, Ikoma et al., 2002a).
Hong et al. (2003) introduced an eigen-function
method that can account for breakwater,
shoreline effects and the draft of the mat
structure simultaneously. The concept of wave
breaking by using submerged-plate was also
introduced, and its effects were investigated by
Takaki et al. (2001) and Higo et al. (2002).
The characteristics of slowly varying wave
drift forces and moments acting on VLFS,
which are important in the design of the
mooring system, were studied by Shimada and
Maruyama (2002). Utsunomiya et al. (2001)
derived near field wave drift force formulae for
pontoon type structures, and Hong et al. (2002)
derived near field expressions for wave drift
forces considering the elastic deflection of
general bodies in an analytically consistent
manner.
Proceedings of the 24th ITTC - Volume I
Various methods have been proposed for
reducing the hydro-elastic responses. Maeda et
al. (2001) and Ikoma (2002b) proposed to set
up air chambers on the bottom of VLFS to
control hydro-elastic behaviour. Masanhobu et
al. (2001) and Mural et al. (2002) investigated
VLFS supported by columns, and made clear
the effect of winds and the effect of viscosity
acting on the columns.
The bottom topography effect on hydroelastic responses was considered by Iijima and
Shiraishi (2002), and Murai et al. (2003).
Bellibassakis
and
Athanasoulis
(2004)
developed a coupled mode technique to apply
to the analysis of hydro-elastic responses of
VLFS lying over variable bathymetry regions.
273
identifies the needs in term of R&D. The IEAOES (2003a) also identifies with detail the
status and R&D priorities. In general one may
say that model testing will contribute to
develop wave energy systems optimised with
respect to the energy production and safer with
respect to extreme wave loading. The IEA-OES
(2003b) recommends a set of practices and
guidelines for testing and evaluation of wave
energy systems. Many references to the scientific work developed recently within several
areas related to wave energy system can also be
found in the three references presented before.
The variational principle applied to hydroelastic responses was attempted by Isshiki and
Nagata (2001) and Meylan and Hazard (2002)
applied Spectral theory. A wet-mode superposition technique was used by Hamamoto and
Fujita (2002). Lee and Choi (2003) applied
FEM-BEM hybrid method to solving for the
transient hydro-elastic response of a pontoon
structure.
5.6 Energy Systems
The utilisation of renewable energy is
becoming increasingly important from the
viewpoint of the conservation of the global
environmental. The ocean waves have a huge
potential for clean energy production and the
estimated useful resources around the world are
between 1 and 10 TW. The offshore wind
farms also promise to become an important
source of energy in the near future.
The experimental investigation with scaled
models of wave energy devices offers new
opportunities for ocean basins. With the
increasing pressure to produce energy from
renewable sources, the development of wave
energy devices is gaining momentum. The
European thematic network WaveNet presents
some of the concepts (WaveNet, 2003) and
Figure 5.1- Floating wind farm with mooringless system.
Although some seabed-mounted offshore
wind farms were constructed in the shallow
seas off European countries (Henderson et al.,
2002a, Zaaijer et al., 2004), most of sea
bottoms around Japan get quite deep as apart
from coast lines, and hence other concepts will
need to be utilised (Henderson et al., 2002b,
Kogai et al., 2003). It is a progressive idea to
deploy many floating wind farms in deep seas.
The key technologies for designing them are to
secure structural strength and station-keeping
performance. Conventional catenary mooring
system is no longer practical for stationkeeping a kilometre sized floating structure in
over hundreds of meters of water depth. The
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The Ocean Engineering Committee
unique shaped floating structure shown in Fig.
5.1, which consists of many wing shaped struts
and slender shaped lower hulls, is considered
by Inoue et al. (2005) to be the most promising
new concept for floating wind farms. This
floating structure has self-mobile capability and
is effectively manoeuvred to the designated
offshore region using lifting forces generated at
the struts.
A DP-system consists of several components. The main DP-components are:
6.
6.2 Components of a DP-System
PREDICTING THE BEHAVIOUR OF
DYNAMICALLY POSITIONED
SHIPS
Dynamic Positioning (DP) was developed
in the late 60's and has been used since then
mainly for drilling operations. With the trend
towards offshore operations in increasingly
deeper water the application of DP has become
a commodity. Due to growing experience the
reliability has also increased while the costs of
DP-systems have decreased and nowadays DP
is found on a wide variation of offshore vessels
and even on dredgers, small yachts and cruise
vessels. A description of DP systems was given
previously in the 23rd ITTC Stationary Floating
Systems Report. In this section, the focus will
be mainly on the numerical and physical
modelling aspects.
6.1 Definition and Components
DP is “a means of holding a vessel in
relatively fixed position with respect to the
ocean floor, another vessel or a floating
structure, without using anchors, accomplished
by two or more propulsive devices controlled
by inputs from sonic instruments on the sea
bottom and on the vessel, by gyrocompass, by
satellite navigation or by other means.” Based
on this definition, DP can be considered to be a
special type of mooring. A special case of DP
is when it is used to control the motions of a
vessel along a predetermined track, so-called
dynamic tracking.
Sensors (motions, wind, thruster feedback)
Control system, consisting of mathematical
model (including Kalman filter), feedback
controller, wind feed forward and thruster
allocation
Thrusters
A DP-system consists of several components. The main DP-components are:
Sensors (motions, wind, thruster feedback)
Control system, consisting of mathematical
model (including Kalman filter), feedback
controller, wind feed forward and thruster
allocation
Thrusters
6.3 Specific Aspects
DP system reliability and performance
depends on a number of aspects:
Control system stability, robustness and
optimisation.
Position reference and sensor stability and
performance.
Thruster operational performance.
Hydrodynamically the thruster performance
research is the most relevant aspect of DP
technology development. It focuses on thruster
interaction effects (see below). A second aspect
is the development of adequate hydrodynamic
(manoeuvring) models for the Kalman filter,
i.e. for vessel speeds from 0 to 8 knots.
6.4 Evaluation of DP-Systems
To evaluate the performance of DP-systems
the following methods are available:
Proceedings of the 24th ITTC - Volume I
DP Capability Calculations. In this approach the equilibrium between mean
environmental forces and maximum thruster
forces are calculated as functions of the vessel
heading. Several commercial programs are
available; see also the report of the specialist
committee on Stationary Floating Systems
(23rd ITTC). Characteristics of this approach
are:
Quasi static approach (mean forces only,
constant heading)
No vessel dynamics (only a fixed margin
for dynamics)
Fixed relation between waves and wind
Fixed current speed (and direction)
Software available from several sources
The main advantage of the method is the
speed of calculation and the ease of comparison
of one design compared to another.
The main disadvantage is that the results
depend heavily on the chosen approach of force
calculation and only designs using the same
capability calculation method can be compared.
Another disadvantage is that no real vessel
dynamics are taken into account. DP capability
calculations therefore tend to over-estimate the
DP performance in severe sea states.
DP Time Domain Simulations. In time
domain calculations a numerical model is built
that describes the DP-vessel. Most often only
low frequency motions are considered, which
reduces the numerical model to three equations
of motion (surge, sway and yaw). Characteristics of this approach are:
Low frequency dynamics included (surge,
sway and yaw)
Option to include wave frequency
dynamics
More detailed results on DP performance:
Statistics
Range of headings for given sea state
Optimisation of DP control settings
possible for different sea states
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The main disadvantage of time domain
simulations is that the results are only as good
as the numerical model. Thruster interaction
effects are at best taken into account in a
generic way. Furthermore, most simulations
consider a no-noise situation, so the effect of
position filtering is not taken into account. The
wave drift forces in a real sea environment may
differ from the numerical values due to effects
of large first order motions, actual wave shape,
wave directionality and current interaction
effects which are not yet fully described in
theory.
DP Model Tests. In DP Model tests a
physical model of the DP-vessel is built. All
components of the DP-system are present in
the model, although it may not be necessary to
model all details. For instance, in some cases it
may be possible to “lump” some of the
thrusters into a single thruster delivering the
total thrust. Key features of DP model tests are:
Controlled real environment (waves, wind
and current)
A complete physical model, i.e. combined
wave, wind and current loads and all thruster
interaction effects and response times are
present
Closed loop automatic DP control
including:
1. Kalman filter
2. Controller (PID or other)
3. Minimum power thruster allocation
The main disadvantage of DP model tests
are the costs and time it takes to perform the
test program.
An advantage of (DP) model tests is that
unexpected phenomena will show up in an
early stage of the design process. Furthermore
the DP model tests can be combined with
'traditional' sea keeping tests. See also van Dijk
et al. (1999).
Full-scale measurements. After the DP
vessel is built, full-scale measurements can be
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The Ocean Engineering Committee
performed to assess its DP performance. Key
features are:
Evaluation of DP performance on delivery
Observation of possible interactions
between DP system and power management
system
The advantage of full-scale measurements
is that these are the most accurate assessment
of DP performance of the DP-vessel.
The main disadvantages of full-scale
measurements are that it is more costly and that
any errors found are more difficult to correct
(as the vessel is already built). Furthermore, the
conditions that can be tested depend on the
environment the vessel is in at that moment and
it may take a long time before a specific sea
state is encountered. On top of that it will not
be feasible (from a safety point of view) to test
full scale in survival conditions.
6.5 Aspects of the Investigation of DP
Model Tests and Simulations:
When evaluating a DP-system using either
simulations or model tests the following
aspects of DP-performance can be investigated:
Position accuracy
Thrust and power requirements
Heading window assessment
Sudden wind squall procedures
Thruster - Hull interaction
Thruster - Current interaction
Thruster - Wave interaction
Control coefficient optimisation
Thruster failure scenarios
Drift - off / Drive - off scenarios
6.6 Future Research and Development:
Current loads are an important parameter in
total environmental loading of an offshore
structure. These loads are normally derived
using model tests or wind tunnel tests, but both
have Reynolds numbers that are orders of
magnitude lower than the prototype situation.
In general the scale effects are considered to be
negligible, but in some special cases model
tests and wind tunnel tests may underestimate
the prototype current loads.
Development of manoeuvring models for
Kalman filters for a speed range between 0 and
8 knots is an area that should be studied further
(to be used in DP, dynamic tracking and auto
piloting).
Existing data on thruster - current
interaction is valid for current speeds up to 0.7
m/s (bow thruster results are available up to 2
m/s). Thruster interaction modules in existing
software often use this data to predict thrust
losses due to current. In most of the DP
operations considered today much higher
current speeds are encountered, e.g. GoM loop
current condition with current velocities up to
3-4 knots. It is therefore important to update
the databases with new thruster current
interaction data valid for these higher current
velocities in order to accurately be able to
predict DP performance in high current
conditions.
While performing DP model tests it is
important to model the complete system as will
be used in the prototype situation. It is
therefore important to use a DP control system
in the model tests similar or identical to the one
used in reality. This may involve more
cooperation with suppliers of prototype DP
systems. Points that need to be addressed are:
Thruster allocation. There are many ways
of allocating the demand thrust to the thrusters,
how significant is the effect of this on overall
performance. If an algorithm that differs from
the manufacturers is used, how important an
effect is this?
Controller tuning. How significant is the
effect of controller tuning on the results of a
model test and how do these tuning parameters
translate to full-scale performance?
Thruster response time modelling, i.e. time
Proceedings of the 24th ITTC - Volume I
to reverse propeller, time to azimuth thruster.
How does this affect DP performance?
To improve the DP performance wave feed
forward can also be applied. A recent joint
industry project (DP-JIP) has studied this
method (see also Waals, 2002). Both model
tests as well as full-scale measurements are part
of this effort.
As DP is becoming more widely accepted,
multi-vessel DP and interaction between DP
vessels is an area of interest. Since the DP
system is a "virtual mooring" two vessels
positioning relative to each other (such as in an
offloading scenario involving workboat/drill
ship or FPSO/tanker) become as single system
both from a controls perspective as well as
hydrodynamically. How does this interaction
affect the overall safety and stability of both
vessels?
DP reliability: DP is a mature control
technology (at least 40 years) and many of the
reliability issues have been dealt with. That
having been said, the integration of DP with
the power management and other functions has
lead to more complexity and thus the potential
for design or operator errors. It has been shown
that the linkage between power management
and reliability is becoming increasingly
important (Weingarth, 2002 and Millan, 2002).
To improve numerical predictions the
effects of large first order motions, actual wave
shape, wave directionality and current
interaction effects on the wave drift forces must
be better understood.
7.
VORTEX INDUCED VIBRATIONS
AND VORTEX INDUCED MOTIONS
VIV is the resonant motion behaviour of a
structure due to the shedding of vortices and its
structural mechanical properties. If the vortices
are shed coherently over the full length of the
structure large oscillating forces act on the
structure. If the frequency of vortex shedding
277
more or less coincides with (one of) the natural
frequencies resonance occurs, with resulting
large motions. A review of the relevant theory
is given in the report of the specialist
committee on Stationary Floating Systems
(23rd ITTC), Section 2.7, 'Vortex Induced
Vibrations'.
To reduce VIV of a structure mitigation
devices can be applied to reduce the coherence
of the vortex shedding. The most common
mitigation devices are strakes.
In offshore technology two different aspects
of VIV can be distinguished:
Riser VIV
Spar VIV or VIM (vortex induced motions)
7.1 Riser VIV
Although there are some good analytical
prediction tools for riser VIV, such as Shear7,
VIVANA or VIVARRAY, these tools are
mostly
semi-empirical
and
do
have
shortcomings e.g. with respect to in-line
effects. However, this is the most commonly
used approach in the VIV analysis of real
offshore risers. It is based on the assumption
that the forces exerted by the flow on the
structure can be locally described by a nonlinear oscillator equation. The approach is
adjustable to experimental results and is thus
capable of predicting most characteristic
phenomena associated with riser VIV.
Deepwater catenary risers are significantly
curved in the static equilibrium. This
complicates the problem, and implies that even
in the linear approximation (with respect to the
structural vibrations) the vibrations in the
directions tangential and normal to the static
equilibrium position of the riser are coupled.
Consequently, the structural modes interact not
only through the flow but also within the
structure itself. Furthermore, the lift and the
drag forces become necessarily coupled
through the structural component of the model.
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The Ocean Engineering Committee
Accordingly, considering the cross-flow
vibrations independently of the in-line
oscillations makes much less sense than it does
in the case of straight risers. Secondly, the
touchdown point of a catenary riser is not fixed
to the seabed and necessarily travels along the
seabed in the course of the VIV, thereby
changing the length of the riser. This effect
makes the structural vibrations significantly
nonlinear. Thirdly, some parts of the catenary
risers are significantly inclined with respect to
the vertical. The flow in the vicinity of these
parts is far from normal to the riser. These
three peculiarities of the catenary risers may
play a crucial role in the VIV and therefore
must be accounted for in the prediction model.
Model testing provides another approach to
obtain dedicated coefficients for the semiempirical predictions tools. The effectiveness
of VIV mitigation devices or complex riser
geometries can be studied. A small section (e.g.
4 m) of the actual risers is towed through the
tank and the hydrodynamic coefficients are
measured. Tests can be free vibrating or with
forced oscillation. To minimise scale effects
the Reynolds numbers in the model tests are
often close to or equal to the full scale
Reynolds numbers. Typical Reynolds numbers
in these riser VIV tests can be up to 1E+06 and
the tests are referred to as 'High Reynolds'. To
accommodate for the large tow forces a special
test set up is required. The current state of the
art riser VIV model test set-up has a carriage
with the riser suspended horizontally. The riser
is allowed to move in one direction only,
transverse to the tow direction (denoted as
'cross flow'). This set-up gives repeatable
results independent of tow direction or facility
(Ding, 2004, de Wilde, 2004). However, in the
critical Reynolds range (between approximately 100 000 – 400 000) the results for
smooth cylinders can be less repeatable.
A similar test set-up where the riser is
allowed to make a slight arc motion, i.e.
combined "in-line" and "cross flow" has shown
significant differences in results as function of
tow direction for high Reynolds numbers (de
Wilde, 2004, 2003). For low Reynolds
numbers however the arc type motion results
coincide with the pure vertical motion results.
This indicates the sensitivity of riser VIV to
small variations. This phenomenon is not yet
understood and, as risers will not display pure
cross flow motions this needs to be
investigated in the future.
A recent development is research into 3D
multi mode riser VIV. State-of-the-art fibre
optical measuring techniques are deployed to
obtain detailed insight into the complex (3D)
VIV response of the risers (de Wilde, 2004).
Three different approaches for the
prediction of VIV have been compared by
Chaplin et al. (2005) with experimental results:
(i) modal approach, (ii) fluid oscillator
approach, (iii) local 2D CFD calculations (strip
approach). No 3D calculations were reported.
A state of the art study of interaction
modelling for multiple risers has been
presented by Fontaine et al. (2005). Scale
effects associated with Reynolds number are
studied and the amplification effect for a
tandem arrangement of two risers is illustrated
by experiments.
Bending moment data from an earlier fjord
test on high mode VIV experiments with a 90m
long riser model are analysed in Baarholm et
al. (2005a), with a focus on fatigue damage.
Tests on a densely instrumented 10m model in
a rotating rig facility are reported in Tognarelli
et al. (2004). Trim et al. (2004) present results
from VIV model tests on a 38m long flexible
riser subjected to uniform and sheared flow.
Though ignored in semi-analytical codes, all
three test programmes show that in-line fatigue
damage is as severe as cross-flow fatigue
damage. High-mode VIV data from field
experiments are also presented in Vandiver et
al. (2005).
Baarholm et al. (2005b) performed a
free/span VIV test on a 20 m full-scale
prototype section of an umbilical. The
Proceedings of the 24th ITTC - Volume I
umbilical was heavily instrumented with fibreoptic strain gauges and accelerometers to
acquire records of bending and axial strain and
lateral accelerations in both the cross flow and
the in line direction. Reynolds numbers range
from 30 000 to 260 000. Bare, straked, and
partly straked configurations were tested.
Baarholm et al. (2005c) report experiments
on the riser interaction and clashing of two
10m long, densely instrumented flexible riser
models. The scope included: i) the spatial
distribution of riser clashing, ii) the relative
velocity at clashing, and iii) the riser VIV and
wake-induced oscillations (WIO). Both bare
and straked risers as well as those with bumper
elements included on the risers were tested.
7.2 Spar VIM
Due to the much longer periods of Spar
motions the vortex induced vibrations of spar
structures are more commonly referred to as
Vortex Induced Motions (VIM). As Spars are
still a relatively new concept, Spar VIM is not
as widely studied as riser VIV, although over
the last three years there has been a lot of
attention and numerous model test programs
have been performed to study this subject (Finn
et al., 2003; van Dijk et al., 2003; Magee et al.,
2003; Huang et al., 2003). Furthermore some
full scale data have been published on
measured Spar VIV (Eward et al., 2003;
Leverette et al., 2003; Kokkinis et al., 2004;
Smith et al., 2004).
279
but have limited test length, whereas the flume
tests will always have some turbulence but
allow tests of infinite length. The third is much
the same as the method applied for riser VIV
testing. However, as Spar full scale Reynolds
numbers are in the range of 107, the high Re
Spar tow tests require much higher tow speeds
and results consequently in much higher tow
loads. The Reynolds numbers in these high
speed model tests are typically of the order 106,
still one order of magnitude lower than the
prototype situation. These tests require very
long tow lengths and a very robust tow
carriage. The main reason to perform high Re
tow tests is to reduce or eliminate possible
scale effects. However, the scale used in high
Re Spar VIM is smaller than used in the tow
tests. As scaling of boundary layers on Spar
like structures is not well understood it is not
clear if these high Reynolds tests actually result
in smaller scale effects. The table below
summarises the different aspects of the three
mentioned methods of Spar VIM testing.
Tow length
Motions
Scales
Scale effects
low Re tow
limited
6 d.o.f.
40 - 70
unknown
low Re flume
unlimited
6 d.o.f.
40 – 70
unknown
High Re tow
limited
1 d.o.f.
≈ 100
unknown
7.3 MMS Spar VIM Workshop
In October 2003 a special workshop was
held on Spar VIM for the offshore industry,
sponsored by MMS.
Some conclusions from this workshop are:
In Spar VIM model testing three different
methods are currently used:
Low Reynolds number 6 d.o.f. Spar tow
tests (van Dijk and Magee, 2003)
Low Reynolds number 6 d.o.f. Spar flume
tests (Finn, 2003)
High Reynolds number 1 d.o.f. Spar tow
tests (Yung, 2003 and 2004)
The first two methods are very similar,
although the tow tests allow zero turbulence
At present model tests are considered to be
the only means to verify the Spar design for
VIM performance. The choice of model testing
method is more or less personal or practical as
there is no hard data to compare the three
methods against each other or against full scale
data.
Numerical methods are at present not
capable of predicting Spar VIM behaviour. It is
expected that it may take at least a few more
years before numerical methods are sufficiently
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The Ocean Engineering Committee
developed to describe the complex 3D flow
around a Spar.
More data is needed on full scale
turbulence and the effect on Spar VIM. It is
possible to generate calibrated turbulence in the
model basin but at present no reference full
scale data is available to calibrate against.
More data is needed on the effect of
sheared current on Spar VIM. It is possible to
generate sheared currents in the model basin,
but only limited tests have been performed so
far. It is very likely that the effect of sheared
current will be significantly different
depending on the type of Spar.
7.4 Recent Developments
8.1 Introduction
Recently a number of model test programs
have been conducted focussing on the effect of
shear current on Spar VIM response as well as
the effect of waves on Spar VIM response. As
generation of a highly sheared current in the
model basin results in unrealistic high levels of
turbulence, different methods of generating a
sheared current are being considered:
The prediction of roll due to wave
excitation is a classical subject in Ship Naval
Architecture. A good overall review of the
subject has been given by Himeno (1981). The
prediction of roll generally implies the
determination of a roll damping coefficient for
inclusion in a seakeeping package used to
compute the roll transfer function or extreme
values of roll. The roll damping coefficients
have traditionally been generally determined
through experiments. It is known that at least
for traditional ship forms the response is nonlinear and that quadratic, and possibly cubic,
models provide a reasonable fit of experimental
data. This approach leads to good results
particularly for a ship in a seaway where the
bilge keels that are usually present bring nonnegligible lifting restoring moments. The well
known equivalent cycle linearisation approach
(Faltinsen, 1990), with the coefficients being
obtained via decay tests, also yields good
results.
use of a shroud in a tow basin
use of difference in density in a tow basin
use of a false floor in a flume
A comprehensive paper on low Reynolds
Spar VIM model testing was presented in Irani
and Finn (2004). Yung (2004) described the
high Reynolds model test approach.
Furthermore, more full-scale Spar VIM data is
becoming available which allows some
comparison between model test results and
full-scale VIM-response.
7.5 Future Research and Development:
During the 2003 VIM workshop the
following points of attention with respect to
further research were defined:
1 d.o.f. versus 6 d.o.f. Spar VIM model
testing
High Re versus low Re Spar VIM model
testing
Reynolds scaling effects:
Modelling full scale damping at model
scale (truss)
Modelling sheared currents
Statistical approach of A/D-values from
VIM test
Effect of waves on VIM behaviour
8.
PREDICTION OF THE ROLL OF
FLOATERS WITH RISERS AND
MOORING SYSTEMS
With the use of platforms with non-ship
forms such as Semi-submersibles, TLPs, and
Spars, the procedure cited above has become
standard. However, with the recent trend of
stationary ship hulls in open seas, that is, with
reduced lifting characteristics, the roll
behaviour has become an issue again, to such a
Proceedings of the 24th ITTC - Volume I
point that a JIP has been recently proposed
(Marin, 2002).
8.2 Viscous Roll Damping
The roll damping mechanism modelled in
conventional, unmodified, potential flow based
seakeeping methods is one of wave radiation
damping. However, for certain hull forms, if
the wave energy in the sea is concentrated at a
frequency similar to the vessel’s natural
frequency, the wave damping can become
relatively small, and the system can become
dominated by viscous effects. The principal
mechanism involved is one of flow separation
from the hull leading to vortex shedding
(Downie et al., 1988). This phenomenon is
more pronounced for hull forms such as wall
sided, flat bottomed barges because stronger
vortices are shed from sharp edges than low
curvature continuous surfaces. The mechanism
is nonlinear because the strength of the vortices
also varies with roll amplitude.
281
viscous component by determining the former
experimentally from a far-field momentum
method and subtracting it from the total
damping to give the latter. They found that the
roll of a barge with a ‘top hat’ shaped section,
referred to as a step section, was less than that
of comparable conventional sections because of
increased vortex shedding.
The relationship between viscous roll
damping and the drift forces of multi-body
floating systems was studied by Inoue and
Islam (2001). They developed a numerical
method in which slowly varying second order
drift forces were determined by far field and
near field approaches (direct pressure
integration) and empirically determined
viscous damping was added. They concluded
that accurate estimates of the viscous roll
damping is required for the accurate prediction
of second order drift forces in regular and
irregular long crested waves.
8.3 The Roll of FPSOs
When conducting decay tests of an FPSO
hull with larger than usual bilge keels, Sousa et
al (1998) observed that a uniform matching
through roll decay time series may not be
adequate, and they proposed a matching that is
different for large roll angles than for smaller
angles. Later Fernandes et al. (2000) suggested
a bilinear approach. This has led to an
investigation by Oliveira (2003) that
summarised several model test results and
identified Keulegan-Carpenter (KC) effects
that are different for the large and small roll
angles. For large angles, there is a stronger
damping due to a strong bilge-keel vortex
attracted to the hull bottom. They concluded
that at small angles, the vortices are shed
because at the smaller amplitude of oscillation
(smaller KC number) they may not be attracted
to the hull Oliveira (2003).
Yuck et al. (2003) determined the roll
damping coefficients of a series of
unconventional midship sections. They divided
the roll damping into a wave making and a
Floating Production Storage and Offloading
(FPSO) systems usually comprise a monohull
kept on station by a spread mooring system
attached to a turret that allows the vessel to
weathervane to the prevalent wave system.
However directional spreading due to wind
driven seas can induce a roll motion that can
have a critical effect on the fatigue life of the
hull, risers and mooring lines. The roll motion
also has implications for operability and safety
in such applications as the offloading of LNG
FPSOs. The presence of the moorings and
risers introduces sources of damping that are
not present in the classical roll damping
problem. For these reasons FPSO design
requires the accurate prediction of roll.
As deep water fields are developed,
increasing quantities of risers are connected to
the FPSO hulls, as is the case with platform
P43 with 42 risers (Portella et al., 2003) and
the platform P50 with 77 risers (Palazzo et al.,
2003). For both cases the presence of the risers
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The Ocean Engineering Committee
can be assumed to influence the overall
damping. However further research is required
to accurately determine the relative importance
of this component of the damping.
The roll response of a barge-type LNG
FPSO was investigated by Choi et al. (2004)
for three different loading conditions, namely
the ballast, design and towing conditions. They
determined damping coefficients through free
decay tests and RAOs using Fourier analysis of
irregular wave trains generated from wide
banded spectra.
Van Dijk et al. (2003) carried out full-scale
measurements of the motions of the Girassol
FPSO off the West of Africa over a period of a
year. They obtained estimates of the viscous
damping by tuning their numerical models to
the full scale results, taking into account the
effects of wave spreading. They considered a
number of loading conditions with varying
wave height, period and direction. In one of the
cases presented the values of the potential roll
damping
(representing
wave
radiation
damping) and the viscous roll damping were
quoted as 0.5% and 3% of the critical damping
respectively.
A joint industry project (JIP) named ‘Roulis
2’ was set up within the frame of CLAROM (a
French club of engineering companies and
research centres in the field of ocean engineering), with the objective of improving the roll
damping prediction methodology with particular reference to deep water developments off
the West Coast of Africa. The main findings of
the project, which included both numerical and
experimental studies, have been reported by
Ledoux et al. (2004). An outcome of the
numerical study was that risers and moorings
of deep water FPSOs make a significant contribution to roll damping. It was found that this
component was more important than viscous
roll damping in mild sea states, but the reverse
is true in more extreme conditions.
Finally it is worth mentioning here the work
by Liu (2003), showing both numerically and
experimentally that the slowly varying roll
(typical periods of the order of 23 – 26 s) may
play an important role. This behaviour is usually neglected for motion analysis.
8.4 Modelling Roll
Roll motions have generally been calculated by including empirically determined
damping coefficients into potential flow
seakeeping packages, which otherwise ignore
viscous effects. An early attempt at a purely
theoretical approach to calculating the roll
response was made by Downie et al. (1988)
who matched an inviscid discrete vortex model
of the local flow around hull shedding edges to
the global flow determined from a seakeeping
package. More recently Graham et al. (2005)
have embedded an inner viscous flow field
within an outer potential flow following a
Helmholtz split of the velocity field. The inner
rotational flow-field, Ur, which is driven by the
outer flow computed from a seakeeping programme, is modelled by the modified Navier
Stokes equations
∂U r
1
+ U ⋅ ∇U = − ∇p + ν∇ 2 U r
ρ
∂t
(8.1)
which are solved using a spectral element code.
Good agreement was obtained with experimental results.
Ferrant et al. (2003) also use a (different)
potential splitting approach in which a fully
non linear potential formulation for incoming
waves is accounted for in the formulation of
such problems as a floater rolling in waves (as
discussed in Section 4.8).
A commercial solver has been used by
Salui et al. (2004) to study the roll damping of
a high speed hard chine vessel. They used a
RANS based solver with a standard k-ε turbulence model and a HRIC differencing scheme
for accurate resolution of the free surface
described by a multiphase-type model. They
Proceedings of the 24th ITTC - Volume I
obtained good agreement between computed
and forced roll experimental results, but their
work highlighted the (possibly prohibitive)
requirements for computing resources capable
of capturing the details of more complicated
hull forms.
In the CLAROM project, ‘Roulis 2’, the
roll motion of a barge was modelled using a
general purpose CFD code (EOLE) based on
the Pseudo-unsteady System, and also by the
VOF method (Ledoux et al., 2004). Good
agreement with experiment was reported with
respect to global loads and the velocity field.
283
to FPSOs, including the shape of the bilge, different types of bilge keel and variations of the
U-tube anti rolling tank (ART). They concluded that the ARTs are the most effective and
suggested improvements to the classical design
using split plate and spring mass systems to
widen their range of effectiveness beyond their
natural frequency.
9.
REVIEW OF EXISTING ITTC
PROCEDURES
9.1 Validation of Sea Keeping Computer
Codes in the Frequency Domain
8.5 Roll Damping Devices
The problem of reducing the roll of FPSOs
and other types of floater has been has been
investigated in a number of studies. A systematic study of FPSO bilge keels was undertaken
by Na et al. (2002) who investigated a variety
optimised section shapes and corresponding
keel configurations, including one fitted with
an end plate. The model tests were performed
using a forced roll oscillator for a number of
different roll centres. They concluded that by
using a bilge keel with an end plate they could
reduce the depth of the bilge keel significantly
without sacrificing its damping capability.
Downie et al. (1999) suggested that since
the total force exerted on a hull by a bilge keel
is made up of a drag component, which
contributes to the viscous damping, and an
inertia component, it could be made more
effective by maximising the drag component.
They proposed that this could be achieved by
using perforated plates, which maximise the
length of shedding edge per unit area. Their
experiments and analysis showed that in fact
the flow mechanisms involved are complex,
and although the damping can be significantly
improved, care must be taken in selecting the
correct set of design parameters.
Park et al. (2004) reviewed several antirolling devices with a view to their application
The committee reviewed the existing procedure 7.5-02-07-02.4 for the Validation of Sea
Keeping Computer Codes in the Frequency
Domain and proposed that the part of the
procedure dedicated to ocean engineering
should be extended. The original procedure
focuses only on forward speed problems. The
proposed new version, as is appropriate for
ocean engineering problems, will focus also on
stationary structures. The new document
should thus be structured according to the two
main problems; firstly, the wave-body interactions (a) with, or (b) without, forward speed,
and secondly, the Wave plus Current problem.
In addition, it is proposed to include new
sections on the following topics: the computation of Second Order Wave Forces; computation with Irregular Waves; the computation of
Hydrodynamic Pressures. The last topic
addresses the problem of pressure estimation
for fluid/structure coupling.
The committee also thought that objective
information should be included that is important for the validation of the codes, namely:
Benchmark analytical, numerical or experimental values should be stated, and
Key asymptotical values should also be
stated.
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The Ocean Engineering Committee
In addition, it was thought that the importance of higher order BEM for accurate
estimation of drift forces should be referred to,
and that the list of references with benchmark
experimental data should be updated to include
recent work in this area.
An alternative to merging the above new
content into the existing procedure would be to
develop a new procedure for stationary problems instead.
9.2 Hybrid Mooring Simulation Model Test
Experiments
Procedure 7.5-02-07-03.4 on Hybrid Model
Testing was recently introduced by the 23rd
ITTC (2002). The purpose was to document a
tool or method for carrying out deep-water
model tests in a test basin of limited depth, by
means of a truncated set-up combined with
computer simulations.
The present (24th) ITTC Ocean Engineering
Committee suggests renaming the existing
Procedure into “Active Hybrid Model Testing”.
This reflects the actual content of the described
approach utilising online integration of
experiments and computer simulations, while
no other changes are, at this stage, proposed in
the actual document. However, a new Procedure 7.5-02-07-03.5, on truncated model
systems with passive (off-line) integration is
also proposed, since it is considered that at the
present stage, this approach reflects the stateof-the-art laboratory practice, while the active
one is still in its development stage. Some
results on the active method have been
presented by Fryer et al. (2001). The new
Procedure is described in more detail in Section
10 below, together with some background for
the proposal. It is recommended that the
existing Procedure be reviewed again at a later
stage when more experience is gained within
active hybrid testing.
9.3 Model Testing on Tanker-Turret
Systems
During its review of the existing ITTC
procedure 7.5-02-07-03.3 on Model Tests on
Tanker-Turret Systems, the committee referred
back to the ITTC procedure on Floating
Offshore Platform Experiments (Procedure 7.502-07-03.1). It was found that there were
significant areas of overlap between the two
and that only a few modifications were
required to the original procedure to extend its
scope to cover Tanker-Turret Systems. The
committee therefore concluded that the
procedure on Tanker-Turret Systems should be
removed and that the procedure on Floating
Offshore Platform Experiments should be
appropriately extended. An update has
therefore been made to the latter procedure.
10. TRUNCATION OF TEST MODELS
AND INTEGRATION WITH
NUMERICAL SIMULATIONS
A new Procedure, 7.5-02-07-03.5, is
proposed on so-called “passive” hybrid model
testing; to be distinguished from the “active”
approach described in Procedure 7.5-02-0703.4, see Section 9.2 above. Both procedures
describe tools and methods in model testing of
deep-water floater systems, including floater,
moorings and risers, when limitations in the
model basin require truncation in the set-up.
The background for proposing two different
procedures is that although some principles are
similar for the two procedures, there are also
clear differences. It is also considered that the
passive (off-line) approach is the one that is
currently in practical use in various model
basins. The following gives some background
and remarks to the new procedure.
10.1 Background
Previous work on the model testing of
deepwater floater systems and truncation of
models has been carried out within the 22nd and
Proceedings of the 24th ITTC - Volume I
23rd ITTC. The present work is based partly on
this, and partly on other published literature
and experience in the field. The challenge
encountered is to minimise the uncertainties
within model testing due to truncation. It is
important to keep in mind that in many cases,
there is no better alternative, and such
uncertainties are inevitable.
Significant efforts were carried out within
two Norwegian JIPs on deep-water model
testing in the late 90’s, Verideep (Stansberg et
al., 2000a) and NDP (Stansberg et al., 2000b).
It was found that when used as a tool for
verification of global analysis of a floater
design, model testing with a truncated set-up
generally requires a combination with
computer simulations. In particular, the
dynamics of the mooring line forces are hard to
reproduce by tests only, but also floater motion
damping may be inaccurate.
The combination can in principle be done
either by an on-line (active) coupling to
computer-controlled
actuators
simulating
mooring and riser forces, or by an off-line
(passive) two-step procedure where the model
tests are used as input to final simulations at
full depth. In the work referred to above, the
passive approach was chosen while the active
type was considered quite complex with a need
for substantial development before it can be
used in practical applications. An overview of
the chosen procedure was given by Stansberg
et al. (2002). A DeepStar project on the same
problem has also been carried out (Stansberg et
al., 2004).
10.2 Principles of the method
In the design of a truncated set-up, model
test reproduction of the floater motions is
emphasised. This includes low-frequency as
well as wave frequency motions. Thus the
force vectors from the moorings and risers on
the floater should be the same as for the fulldepth system. This is obtained in the truncated
285
design by reproduction of the following set of
parameters, with priority as given:
1. Total mass of floating system (hull,
topside, full-moorings and risers),
2. Total horizontal stiffness,
3. Quasi-static coupling between important
vessel responses (e.g., between surge and
pitch for a Semi-submersible or Spar),
4. Total horizontal and vertical mooring and
risers restoring forces,
5. “Representative” level of mooring and riser
system damping in waves and currents, and
current force (e.g. by adjusting the
effective mooring line and riser diameters),
6. “Representative” single line tension
characteristics for each mooring line and
riser (at least quasi-static).
In most cases, this means that individual
lines are modelled, with their quasi-static
properties reasonably close to the full-depth
specification, while risers are sometimes
lumped together in a few equivalent riser
models. Dynamic mooring line forces are,
however, generally hard to reproduce by
truncated models, and must be verified by
subsequent computer simulations.
Tests are run in actual environmental
conditions specified for the design, typically at
scales of 1:50 – 1:80. The results are then used
to calibrate an accurate numerical model of the
truncated set-up, preferably by a coupled
analysis model. Normally, among the most
uncertain parameters are the low-frequency
wave drift excitation and damping parameters,
which have to be checked or modified from the
experiments. This also includes, in some cases,
full quadratic transfer functions including offdiagonal elements.
Finally, a full-depth simulation model is
established on basis of the above calibrations.
A coupled analysis model is normally
recommended.
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The Ocean Engineering Committee
10.3 Verification of method
It is essential that the method be verified
through double experiments where results from
a truncated set-up combined with simulations
are compared to corresponding full-depth
experiments. Such comparisons were presented
in Stansberg et al. (2000a, 2000b), showing
good agreement. More verification studies on
different cases are, however, encouraged
difficult to define; estimated results are
inherently subject to statistical errors, and
certain characteristics of the estimates will be
coloured by the estimation method actually
used.
12. WAVE GENERATION IN SHALLOW
WATER
12.1 Wave Generation
11. GUIDELINE ON MODELLING OF
DIRECTIONAL WAVE SPECTRA
A new Guideline has been worked out and
is recommended by this Committee, on the
Laboratory Modelling of Multidirectional
Irregular Wave Spectra (Guideline Document
No. 7.5-02-07-01.1). The Guideline gives an
overview of the most commonly used
principles, methods and definitions adopted
within the generation and analysis of
directional (short-crested) waves in a model
basin, mainly for ocean engineering and naval
architecture purposes. It is not the intention to
provide particular recipes for all steps in the
process, for which more details can be found in
e.g. IAHR (1997).
Definitions of basic parameters such as the
mean direction, the spreading and circular
moments are given. Commonly used models
for target directional distributions (spectra) are
described. Basic principles of generation
(synthesis) and measurement techniques are
briefly addressed. Finally, various methods for
analysis (estimation) and documentation of the
measured directional spectra are outlined, all
based on cross-spectral analysis between
different measuring channels. Particular
characteristics of some of the methods are
addressed.
An important issue in the estimation of
directional spectra from a given set of
measurements is the inherent statistical nature
of the directionality in an irregular sea. Thus a
“unique” sample distribution estimate is
As with current generation there are
different methods of generating waves, all of
them on oscillating flaps or oscillating air
pressure chambers. The most common type of
wave maker is the single flap rotating type. For
shallow water wave generation also translating
flaps can be used or combined translating and
rotating flaps. For extreme shallow water these
will produce better quality waves. Second order
control is normally used to reduce the
generation of second order free waves from the
wave makers. Care should be considered since
these 2nd order control laws are still based on
linear first order waves, which in very shallow
water will not be the case. The following
aspects require attention in wave generation:
Reflection on Beaches and Wave Makers.
All model basins have beaches opposite the
wave makers to absorb the waves and prevent
reflections. It is well known that no beach is
perfect and especially significant reflections of
low frequency waves can occur. As the
emphasis of model tests is more and more to
calibrate numerical tools, the reflection
coefficient is getting more important in order to
accurately calculate what happened in the
basin.
Most beaches are only effective below a
certain wavelength, which means that long
waves are reflected between beaches and wave
makers. Some basins have some kind of active
reflection compensation (ARC). This type of
compensation is mostly effective in the high
Proceedings of the 24th ITTC - Volume I
frequency regime and less effective on the low
frequency waves.
Wave Generation on Current. Depending
on the method of current generation the wave
makers need a correction to produce the desired
wave spectrum on the location of the model.
Free Incident and Reflected Low Frequency
Waves. In general, a wave field consists of
high frequency waves and low frequency
waves induced by these high frequency (short)
waves. These low frequency (or “long”) waves
consist of a number of components. One
component is phase-locked to the wave groups
propagating away from the wave board and is
called the “incident bound” long wave (or "setdown"). This set-down wave increases with
decreasing water depth. This wave has the
celerity of the wave groups, i.e. the group
velocity. Another component is the “incident
free” long wave, which propagates in the same
direction but with the free long wave celerity.
This component originates from imperfections
from the wave maker control as well as
possible shoaling effects on a ramp in the
basin. The third component is the reflected
bound wave which is phase locked to the highfrequency components which reflect from the
beach opposite to the wave maker. This
component is expected to be very small as the
reflected high frequency waves are typically
less than 10% of the incident waves. Finally, a
“reflected free” wave is present which is due to
the reflection of the incident long waves on the
beach as well as reflection of the incident
bound wave. As the long waves are expected to
hardly dissipate the reflection of the long
waves may be significant and even full
reflection may occur. The reflected waves
(bound and free) will propagate towards the
wave maker.
Model basins have finite lengths. This
length determines the maximum low frequency
wavelength that can be sustained in the basin.
The low frequency incident bound wave is
taken into account in most numerical tools. The
287
low frequency free waves are often ignored
because they are small. However, if a moored
offshore structure has a natural period that
coincides with the frequency of the low
frequency waves the vessel motions may be
much larger than expected by the set-down
waves only, especially if the moored vessel has
very little damping (Naciri 2004).
The following aspects require special
attention in shallow water wave generation:
Refraction of Generated Waves Oblique to
a Ramp in the Basin Floor. If oblique waves
are generated in shallow water and the basin
has a ramp between the wave makers and the
test section, the long waves will experience
more refraction than short waves. As a result
the sea will not be long crested at the test
section.
Set-Down or Bound Low Frequency
Waves. It is well know that irregular waves on
shallow water contain significant low
frequency bound waves associated with the
fundamental wave groups. This bound wave is
also known as the "set-down" wave as it
effectively reduces the under keel clearance of
a vessel in shallow water (Pinkster, 1908 and
Huijsmans, 1983). This set-down wave can
have a significant effect on the drift forces of a
vessel moored in shallow water (Pinkster,
1992). It is often assumed that the set-down
wave develops instantly in shallow water (Liu,
1989), but more research is required to
determine if this is indeed true in a model
basin.
The current state-of-the art is that maximum
effort is made to minimise the reflection of
waves on the beaches as well as minimise the
generation of free low frequency waves on the
wave maker. See also Section 2.4 of this report.
To assess the remaining wave energy
(reflections, free low frequency waves and
sloshing modes of the basin) a wave probe
array is installed during wave calibration to
separate and identify the individual wave
components, preferably in X and Y-direction.
The Ocean Engineering Committee
288
12.2 Future Research and Development
Research is required to assess the
contribution
of
the
individual
wave
components (wave frequency and low
frequency, bound and free, incident and
reflected) to the overall vessel response in
order to better predict the vessel motions using
numerical tools.
Free low frequency waves are not restricted
to model basins but may occur in the prototype
situation too, due to bathymetry effects like
shoaling in coastal areas. Normal full scale
wave measurements often ignore the low
frequency content, for reasons such as the use
of buoy measurements. If a vessel is sensitive
to the response of low frequency waves in
shallow water, the wave measurements and
design analysis should also include these wave
components.
13. NONLINEAR EFFECTS IN STEEP
100-YEAR RANDOM WAVES
13.2 Results
Results are based on contributions from
four participating institutes. The contributors
are here denoted as Lab A-B-C-D, for which
the order is randomly chosen and has no
connection to the order of the list of actual
institutes given in Appendix B.
Figure 13.1a shows 3-hours extreme crests
AC,max from sample records, normalised by the
significant wave height Hm0 :
RC ≡ AC,max / Hm0
(13.1)
and plotted against a steepness parameter for
the actual sea state:
s = Hm0 / Lp
(13.2)
where Lp is the wavelength corresponding to
Tp. Comparisons are made to the Rayleigh
prediction commonly used for linear models,
13.1 Introduction
A benchmark study was carried out by the
Committee, with the purpose of comparing
non-linearities (or non-Gaussian effects) in
extreme waves observed in the modelling of
steep storm wave conditions. All data
submitted were obtained from laboratory
modelling of random unidirectional wave trains
in wave basins. 3-hours extreme crest heights
and peak-to-peak wave heights were
considered. The reference sea state was a 100year Northern North Sea storm:
Hm0 =15.0m;
data, we refer to Appendix B of the Ocean
Engineering Committee Report. In the
following, the main results are presented.
Tp =16.0s
Where,
Hm0 is the significant wave height and Tpis the
spectral peak period. A range of sea states
around this was also included. For further
details on the specification and description of
the study, on the participating institutes and the
RCRayl = ¼ [√ (2ln(N))+0.577/√ (2ln(N))] (13.3)
as well as to a simplified second-order
prediction model for deep water, based on
Kriebel and Dawson (1993):
RCSec = RCRayl (1 + ½ kp RCRayl Hm0)
(13.4)
Here N = the number of zero-crossing
waves in the 3-hour records, while kp is the
angular wave number ≡ 2π/Lp. (We have used
N = 900 in these plots, which corresponds
approximately to a peak period of 15s.) The
model in Eq. 13.4 was found to compare
reasonably well to more accurate formulations,
and to numerical simulations, in Stansberg
(1998). Notice that the estimates from the
prediction models are statistically expected
values, which do not take into account
sampling scatter.
Proceedings of the 24th ITTC - Volume I
A
C
3-hours Sample Extreme Crests (normalized)
3-hours Sample Extreme Wave Heights (normalized)
1,25
2,5
Hmax / Hmo
3
Acmax / Hmo
1,5
1
Lab A
Lab B
Lab C
Lab D
Rayleigh (0,95)
2nd ord
2nd ord + - sigma_extr
0,75
2
1,5
0,5
Lab A
Lab B
Lab C
Lab D
Rayleigh (1,9)
Rayleigh + - sigma_extr
1
0
0,01
0,02
0,03
0,04
0,05
0,06
0,07
0
0,01
Wave Steepness Hmo/(1.56*Tp2)
0,02
0,03
0,04
0,05
0,06
0,07
Wave Steepness Hmo/(1.56*Tp2)
B
D
Average 3-hours Extreme Crests (normalized)
Average 3-hours Extreme Wave Heights (normalized)
1,5
3
1,25
2,5
Hmax / Hmo
Acmax / Hmo
289
1
0,75
Lab A (6; 9 hrs)
Lab B (6 hrs)
Lab C (18 hrs)
Rayleigh (0,95)
2nd ord
0,5
0
0,01
0,02
0,03
0,04
0,05
0,06
0,07
Wave Steepness Hmo/(1.56*Tp2)
2
1,5
Lab A (6; 9 hrs)
Lab B (6 hrs)
Lab C (18 hrs)
Rayleigh (1,90)
1
0
0,01
0,02
0,03
0,04
0,05
0,06
0,07
Wave Steepness Hmo/(1.56*Tp2)
Figure 13.1- Extreme crests and wave heights vs. steepness of sea state.
Therefore, a variability band showing the
expected standard deviations of the sample
extremes is also shown. For the linear case (i.e.
zero steepness), the method by Gumbel (1959)
is used, while otherwise the variability
prediction is based on the numerical results in
Stansberg (1998).
state duration is also shown for each
laboratory. Similarly, results for the normalised
extreme wave heights H,max are presented in
Figs. 13.1c and 13.1d, with:
RH ≡ H,max / Hm0
(13.5)
and compared to the Rayleigh prediction:
Some of the sample records were different
3-hours realisations based on the same
spectrum (thus giving a longer effective
duration of the actual sea state). For a better
observation of systematic trends, the average 3hours values for each such sea state are shown
in Fig. 13.1b. The corresponding effective sea
RHRayl = 2 RCRayl
(13.6)
(Since second-order effects are not expected to
affect wave heights, the second order model is
omitted here). The sampling variability
according to Gumbel (1959) is indicated.
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The Ocean Engineering Committee
13.3 Discussion
The results show quite different behaviours
for the crests and the wave heights. For the
crest heights, we notice the following:
The measurements are clearly higher than
the linear (Rayleigh) estimates
The second-order model reflects some of
the trend, but not in full
The statistical scatter in sample extremes is
significant, but not dramatically higher than
predicted
The results from four different laboratories
are reasonably consistent
For the wave heights, however, a good
agreement with the Rayleigh model is
observed. This is as expected, at least as
predicted from a second-order model. The
statistical scatter is less than for the crests, and
clearly within the Gumbel model.
While field data appear to compare fairly
well with second-order formulations (Prevosto
and Forristall, 2002), the above laboratory
results show some crest under-prediction by the
model. Similar deviations have also been
shown from other laboratory experiments
(Kumar and Kim, 2002; Stansberg, 2003). Here
the following remarks can be made: All the
tests are run with unidirectional waves, which
may lead to stronger higher-order effects. Also,
the field data sets available from storms are
limited, and there are still uncertainties in this
field.
Further analysis and interpretation of these
data and results could also be made, taking into
account the supplementary information
available behind the main results. This could be
considered for future work.
14. CONCLUSIONS
The conclusions drawn from the above
work and the Recommendations of the Ocean
Engineering Committee to the 24th ITTC are
made in relation to the topics as presented, and
following the same order.
14.1 State-of-the-Art Review
New developments in the prediction of
nonlinear and non-Gaussian effects in steep
and extreme random waves have been
identified, also including “unexpected” (freak)
waves. Advanced nonlinear tools are being
established. Still, for robust prediction of
extreme crests and heights, methods beyond
second order are hardly available yet, and more
work is also needed to document when such
methods
are
insufficient.
Laboratory
reproductions are typically slightly higher.
Advanced techniques for reduction of wave
reflections and re-reflections in laboratories,
being developed during the last 5-10 years,
have been reviewed. At present, it seems that
the theoretical models for this are well
developed, although not widely in use yet.
Special challenges are encountered in
laboratory wave generation for floaters in
shallow water (“parasitic waves”).
Wind generation is physically modelled by
external fans in most wave basins. Often,
mean wind forces only are considered. Scaling
cannot be treated as in a wind tunnel, and
therefore represents a challenge. CFD
techniques are improving, but are not yet
competitive.
Basic theory of wave loads on fixed
structures is generally well known, but has not
been extensively treated previously within the
ITTC. Therefore a brief background has been
included in this report. There is a growing
interest in nonlinear wave run-up, air-gap and
local / global impact problems on fixed
structures, e.g. for shallow-water LNG
terminals, and for the re-assessment of older
structures. Experimental techniques and
analyses are essential. Wave forces on wind
turbines in shallow water is an area of topical
interest the needs further research.
Proceedings of the 24th ITTC - Volume I
Also for floating structures, a significant
development has been made in the prediction
of air-gap, green water, sloshing and wave
impact problems. Progress has been made on
nonlinear theoretical tools, while model testing
plays an important role in calibration and
validation, especially for extreme slamming
loads.
The use of CFD in the context of ocean
engineering showed significant progress in
recent years, especially for problems involving
violent fluid motions: green water on deck,
simulation of sloshing and impact in LNG
tanks. In the latter case, the accurate estimation
of impact loads and coupled fluid-structure
interaction remains a challenge. Particle
methods such as SPH are competing with more
established VOF-type solvers for this kind of
problem. The simulation of viscous vortical
flows about risers is becoming a mature
subject. The estimation of roll damping of
floaters seems to remain most often based on
experimental data, but CFD approaches will
also inevitably become a valuable alternative.
Original CFD-potential flow approaches
recently appeared, showing interesting
perspectives for the efficient simulation of
wave-body interactions, incorporating viscous
effects.
New results on the numerical modelling of
hydrodynamic interaction in stationary multibody problems have been published. This is
important for analysis of marine operations.
Tools are mainly linear. For non-linear multibody solutions, including drift forces, more
work is needed, especially in shallow water.
Significant work has been reported on
improved modelling of hydro-elastic effects on
VLFS, especially as a result of the Mega-Float
project in Japan.
Within offshore oil and gas production, new
and alternative floater solutions are being
developed. These often represent special linear
or nonlinear effects or challenges, and model
testing is essential. This is also the case for new
291
applications such as wave energy devices. One
example is the development of floating wind
farms.
In interpretation of time-domain simulations with DP, it must be noted that the systems
are generally simplified, especially in high
waves. Thus the effects from thrust loss, noise
and higher-order drift forces are difficult to
simulate. Parts of this can be included in model
tests, which can be, on the other side, quite
time-consuming.
A number of new studies on VortexInduced Vibrations and Motions (VIV / VIM)
have been carried out. The physical
mechanisms are complex, and large-scale
model tests are essential. Semi-empirical
models are in use, while CFD modelling is still
in its development.
For the prediction of the roll of floaters,
different contributing mechanisms have been
identified. CFD models have made significant
progress but more validation is needed, and
viscous damping coefficients still require
experimental input for robustness. A bi-linear
viscous damping model has been addressed.
14.2 Review and Update of Existing ITTC
Procedures
The ITTC Procedure 7.5-02-07-02.4
“Validation of Seakeeping Codes in the
Frequency Domain” has been reviewed with
focus on its use for stationary floating
structures. A first attempt to update the existing
version has been made in order to highlight the
areas that need addressing, but it was found
that more in-depth changes are needed before a
final updated Procedure can be recommended.
Alternatively, a new Procedure for stationary
structures should be developed.
The ITTC Procedure 7.5-02-07-03.1
“Floating Offshore Platform Experiments” has
been updated. It now also includes the topics of
the Procedure 7.5-02-07-03.3 “Model Tests
292
The Ocean Engineering Committee
with Tanker-Turret Systems” since much of
their contents overlapped.
14.3 New ITTC Documentation
There is a growing interest in offshore
activities in shallow water areas. An overview
of challenges within wave generation for the
model testing of floaters in such areas has been
given. It is found that particular attention must
be paid to the generation of low-frequency
wave components (“set-down”) in irregular
waves, since unwanted contributions do easily
arise. Effects similar to “unwanted”
contributions may also occur in nature.
Second-order methods for improved generation
are available, but more studies are needed to
optimise the test procedures.
Nonlinear effects in steep random waves
have been investigated in a new ITTC
experimental benchmark study. It is observed
that on average, the largest and steepest crest
heights are consistently higher than predicted
by the traditional Rayleigh model. They are
closer to predictions based on second-order
corrections, although still on the high side. A
significant statistical scatter is also observed, in
accordance with theoretical predictions. Peakto-peak wave heights compare well with the
Rayleigh model.
A new ITTC Procedure “Truncation of Test
Models and Integration with Numerical
Simulations” has been worked out (7.5-02-0703.5). This is supplementary to the existing
Procedure 7.5-02-07-03.4 “Hybrid Mooring
Simulation”. Originally, the intention was to
update the latter. However, the present
Committee recommends an off-line (two-step)
procedure that is currently in use in several
laboratories, while the previous version
describes an on-line (active) hybrid procedure
that may still need some development before
being used in practice. Due to the clear
differences, it was decided that a completely
new ITTC Procedure be written.
A first attempt to establish an ITTC
Guideline for the laboratory modelling of
directional wave spectra has been made. The
work has to some extent been based upon
experiences and recommendations from
previous IAHR work. A set of main directional
parameters has been defined, and commonly
used methods and approaches have been briefly
described and referred to.
15. RECOMMENDATIONS
Adopt the revised ITTC Procedure 7.5-0207-03.1,
“Floating
Offshore
Platform
Experiments”.
Remove the ITTC Procedure 7.5-02-0703.3 “Model Tests with Tanker-Turret
Systems” (included in ITTC Procedure 7.5-0207-03.1).
Adopt the new ITTC Procedure 7.5-02-0703.5 “Truncation of Test Models and
Integration with Numerical Simulations”.
Rename the existing ITTC Procedure 7.502-07-03.4 from “Hybrid Mooring Simulation”
to “Active Hybrid Mooring Simulation”.
Adopt as an ITTC Guideline, “Laboratory
Modelling of Multidirectional Irregular Wave
Spectra” (7.5-02-07-01.1).
16. REFERENCES AND
NOMENCLATURE
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293
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The Ocean Engineering Committee
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Proceedings of the 24th ITTC - Volume I
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Offshore Platforms Subjected to Simultaneously Acting Wave and Earthquake Loads”,
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Fernandes, A.C., Jacob, B.P., Vardaro, E.,
Franciss, R. and Almeida, J.C.L., 2003a
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296
The Ocean Engineering Committee
Amplification in Tandem Configuration”,
ISOPE-2005, Seoul.
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OMAE
2003,
OMAE2003-37293
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OMAE 2004, Vancouver, OMAE200451546
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C.T., 2004, “Validation of Second-order
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Elevation around a Vertical Cylinder”,
ISOPE-2004, Toulon.
Krogstad, H., Socquet-Juglard, H., Dysthe,
K.B. and Trulsen, K., 2004, “Spatial
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Kuntiyawichai, K., Chucheepsakul, S., and Lee
M.M.K., 2004, “Analysis of Offshore
Structures Subjected to Various Types of
Sea Wave”, OMAE 2004, Vancouver,
OMAE2004-51040
Le Touzé, D., Bonnefoy, F. and Ferrant, P.,
2002, “Second Order Spectral Simulation
of Directional Wave Generation and Propagation in a 3D Tank”, ISOPE-2002, Japan.
Kogai, T., Matsumiya, H. and Nagai, M., 2003,
“Technical and Economic Aspects of Offshore Wind Energy Development in Japan”,
ISOPE-2003, pp.289-293, USA.
Ledoux, A., Molin, B., de Jouette, C. and
Coudray, T., 2004, “FPSO Roll Damping
Prediction from CFD and 2D and 3D Model
Test Investigations”, ISOPE-2004, Vol. 1,
pp. 687-695, France.
Kokkinis, T., Sandström, R.E. Jones, H.T.,
Thompson, H.M. and Greiner, W.L., 2004
“Development of a Stepped Line Tension-
Lee, C.-H., Letcher, J.S., Mack, R.G., Newman,
J.N., Shook, D.M. and Stanley, E., 2002,
“Integration of Geometry Definition and
Proceedings of the 24th ITTC - Volume I
Wave Analysis Software”, OMAE 2002,
Oslo, Paper No. 28645.
Lee, D.H. and Choi, H.S., 2000, “A dynamic
analysis of FPSO-shuttle tanker system”,
OMAE 2000, , Vol 1, pp302-307, USA.
Lee, D.H. and Choi, H.S., 2003, “Transient Hydroelastic Response of Very Large Floating
Structures by FE-BE Hybrid Method”,
ISOPE-2003, Vol.1, pp. 100-105, USA.
299
“Deepstar Study on Predicting FPSO
Responses – Model Tests vs Numerical
Analysis”, OTC, Houston. Paper No. 16584
Luquet, R., Alessandrini, B., Ferrant, P. and
Gentaz, L., 2004, “Simulation of the
Viscous Flow Past a Ship in Waves using
the SWENSE Approach”, Proc.24th ONR
Symposium on Naval Hydrodynamics, St
John’s, Newfoundland.
Leverette S., Rijken, O., Dooley W. and
Thompson, H., 2003, “Analysis of TLP
VIV responses to Eddy Currents”, OTC,
Houston
Maeda, H., Rheem, C.K., Ikoma, T., Masuda,
K. and Fujita, N., 2001, “An Experimental
Study on Hydroelastic Responses of Elastic
Floating Bodies with Air Chambers in Irregular Waves”, Journal of Society of Naval
Architects of Japan, Vol. 190, pp.387-393.
Li, W., Williams, A.N., 2000, “Second Order
Waves in a Three-Dimensional Wave Basin
with Perfectly Reflecting Sidewalls”,
Journal of Fluid and Structures, Vol. 14,
pp.575-592.
Magee, A., Sablok, A. and Gebara, J., 2003
“Mooring Design for Directional Spar Hull
VIV”, OTC, Houston.
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induced by short-wave groups over a
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Liu, Y., 2003, “On Second Order Roll Motions
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OMAE2003-37022.
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in Water Waves”, Philosophic Transactions
of the Royal Society of London. A, Vol.
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Loots, E. and Buchner, B., 2004, “Wave Run
Up as Important Hydrodynamic Issue for
Gravity Based Structures”, OMAE 2004,
Vancouver, OMAE2004-51084
Luo, Y., Baudic, S., Poranski, P., Wichers, J.,
Stansberg, C.T. and Ormberg, H., 2004,
Malenica, S., Orozco, J.M. and Chen, X.B.,
2005, “Some Aspects of Multibody Interactions in Seakeeping”, ISOPE-2005, Seoul.
MARIN, 2002, FPSO Roll JIP, www.marin.nl
(current projects/ joint industry projects)
Masanhobu, S., Suzuki, H. and Oka, N., 2001,
“Response Characteristic of SemisubMegafloats in Winds and Waves”, Journal
of Society of Naval Architects of Japan,
Vol.190, pp.373-379.
Meylan, M.H. and Hazard, C., 2002, “Spectral
Theory for a Floating Massless Thin Plate
on Water of Arbitrary Depth”, ISOPE-2002,
Vol. 1, pp. 365-370, Japan.
Millan, J., 2002, “Coordination of FPSO and
Tanker Offloading Operations”, MTS
Dynamic Position Conference, Houston.
Mizutani, N. and Hashimoto, N., 2003, “Air
Flow Characteristics over Wind Waves
from Measurements by the PIV Technique”,
ISOPE-2003, Vol3, pp253-257, USA.
300
The Ocean Engineering Committee
Mo, K., and Reinholdtsen, S.-A., 2003, “Methods for Generating Non-Stationary Current,
Wind and Wave Time Series in the Time
Domain”, ISOPE-2003, Vol 3, pp277-285,
USA.
Molin, B., 2001a, “Numerical and Physical
Wave Tanks: Making Them Fit”, Ship Technology Research, Vol. 48, pp. 2-22.
Molin, B., 2001b, “On the piston and sloshing
modes in moonpools”, Journal of Fluid
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Molin, B., Rémy, F., Kimmoun, O. and Jamois,
E., 2005, “The Role of Tertiary Wave Interactions in Wave-Body Problems”, Journal
of Fluid Mechanics, Vol. 528 pp 233-254.
Mori, N., and Cox, D.T., 2003, “Dynamic properties of green water event in the overtopping of extreme wave on a fixed dock”,
Ocean Engineering, Vol. 30, pp. 2021-2052.
Morison, J.R., O'Brien, M.P., Johnson, J.W. and
Schaf, S.A., 1950, “The Forces Exerted by
Surface Waves on Piles”, Petroleum Transactions, AIME, Vol. 189, pp 149-157.
Morris-Thomas, M., Thiagarajan, K. and
Krokstad, J., 2002, “An Experimental Investigation of Wave Steepness and Cylinder
Slenderness Effects on Wave Run-Up”,
OMAE 2002, Oslo, OMAE2002-28050.
Mostafa, Y.E., El Naggar, M.H., 2002, “Effect
of Dynamic Behaviour of Piles on Offshore
Towers Response”, OMAE 2002, Oslo,
OMAE2002-28582
Murai, M. and Kagemoto, H., 2002, “On the
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Society of Naval Architects of Japan, Vol.
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Murai, M., Inoue, Y. and Nakamura, T., 2003,
“The Prediction Method of Hydroelastic
Response of VLFS with Sea Bottom Topog-
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106-112, USA.
Myrhaug, D., Stansberg, C.T. and Wist, H.,
2002, “Aspects of Nonlinear Random Wave
Kinematics”, OMAE 2002, Oslo. Paper No.
28205.
Na, J.H., Lee, W.C., Shin, H.S. and Park, I.K.,
2002, “A Design of Bilge Keels for Harsh
Environment
FPSOs”,
ISOPE-2002,
Kitakyushu, Japan, ISBN 1-880653-58-3
(Set); ISSN 1098-6189 (Set).
Naciri, M. and Poldervaart, L., 2004, “Design
Aspects of SPM LNG Terminals in Shallow
Water”, OTC, Houston.
Nagamani, K. and Ganapathy, C, 2000, “The
dynamic response of a three-leg articulated
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Nielsen, F.G., 2003, “Comparative Study on
Airgap under Floating Platforms and Runup along Platform Columns”, Journal of
Marine Structures, Vol. 16, pp. 97-134.
Nielsen, K.B., and Mayer, S., 2004, “Numerical prediction of green water incidences”,
Ocean Engineering, Vol. 31, pp. 363-399.
Nieto Borge, J.C., Niedermeier, A., Lehner, S.
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Wave Field Properties in the Spatial
Domain from Space Borne SAR Images”,
OMAE-2003, Cancun. Paper No. 37403.
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Marine Science and Technology for Environmental Sustainability, Newcastle, UK.
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Proceedings of the 24th ITTC - Volume I
Oliveira, A.C., 2003, “Investigações Sobre a
Teoria Bilinear na Análise do Balanço
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the Bilinear Theory for the Analysis of
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Onorato, M., Osborne, A.R., Serio, M.,
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C.T., 2004, “Observation of Strongly NonGaussian Statistics for Random Sea Surface
Gravity Waves in Wave Flume Experiment”, Physical Review E, Vol. 70,
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C.T., 2003, “Time-Domain Coupled Analysis of Deepwater TLP, and Verification
against Model Tests”, ISOPE-2003, Hawaii.
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WIT Press, London, UK. (Chapter 10).
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Sparano, J. and Masetti, I.Q., 2003,
“Evaluation of the Dynamic Behaviour of
the P50 FPSO System Using DYNASYM:
Comparison with Experimental Result”,
OMAE 2003, Cancun, OMAE2003-37178.
Park, I.-K., Yang, J.-H. and Shin, H.-S., 2004,
“Roll Motion Reduction Devices for Harsh
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Park, S.W., Hong, S.Y. and Lee, T.K., 2004, “A
study of preliminary structural design of
pontoon type VLFS”, ISOPE-2004, Toulon,
Vol. 1, pp 630-635, France.
301
Pastoor, W., Helmers, J.B. and BitnerGregersen, E., 2003, “Time Simulation of
Ocean-Going Structures in Extreme
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37490
Peter, M.A., Meylan, M.H. and Chung, H.,
2003, “Wave scattering by a circular plate
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Prevosto, M. and Forristall, G.Z., 2002, “Statistics of Wave Crests from Models vs. Measurements”, OMAE 2002, Oslo, Paper No.
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Rahman, M. and Mousavizadegan, S.H., 2004,
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Vancouver, OMAE2004-51086
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2003, “Useful Force Models for Simulation
of Multibody Offshore Marine Operations”,
ISOPE-2003, Vol. 1, pp. 33-39, USA.
302
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Retzler, C.H., Rainey, R.C.T., and Chaplin,
J.R., 2004, “Non-Linear Run-Up on a Vertical Surface-Piercing Cylinder”, OMAE
2004, Vancouver, OMAE2004-51549
Roveri, F.E., Rodrigues, M.V. and Jacob, B.P.,
2004, “Coupled Motion Analysis of a
Semisubmersible Platforms”, OMAE 2004,
Vancouver, paper - 51120.
Salui, K.B., Shigunov, V. and Vassalos, D.,
2004, “A RANS Based Method for the Estimation of Ship Roll Damping with Forward
Speed”, OMAE 2004, Vancouver.
Sarpkaya, T., 1991, “Hydrodynamic Lift and
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6518.
Sarpkaya, T., 2001, “On the Force Decompositions of Lighthill and Morison”, Journal of
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Schäffer, H.A., 1996, “Second Order Wavemaker Theory for Irregular Waves”, Ocean
Engineering, Vol. 23, pp. 47-88.
Schäffer, H.A., 2001, “Active Wave Absorption
in Flumes and 3D Basins”, Proc. 4th International Symposium on Ocean Wave Measurement and Analysis, Vol. 2, pp. 12001208.
Schäffer, H.A., Steenberg, C., 2003, “Second
Order Wavemaker Theory for Multidirectional Waves”, Ocean Engineering, Vol. 30,
pp. 1203-1231.
Seto, H., Ochi, M., Ohta, M. and Kawakado,
S., 2001, “A Theoretical Approach to
Hydroelastic Behaviour of a Very Large
Floating Structure in Regular Waves”,
Journal of Society of Naval Architects of
Japan, Vol. 189, pp.47-54.
Sheikh, R. and Swan, C., 2003, “The Interaction Between Steep Waves and a Vertical,
Surface-Piercing Column”, OMAE 2003,
Cancun, OMAE2003-37154
Shimada, K. and Maruyama, F., 2002, “Characteristics of Slowly-varying Wave Drifting
Moments Acting on VLFS”, Journal of
Society of Naval Architects of Japan,
Vol.192, pp.319-323.
Smith, D.W., Thompson, H.M., Kokkinis, T.
and Greiner, W.L., 2004, “Hindcasting
VIM-Induced Mooring Fatigue for the
Genesis Spar Platforms”, OMAE 2004,
Vancouver, paper - 51547.
Soares, C.G. and Pascoal, R., 2002, “Experimental study of the probability distributions
of green water on the bow of floating
production platforms”, OMAE 2002, Oslo,
paper - 28626.
Souza, J.R., Fernandes, A.C., Masetti, I.Q., da
Silva, S. and Kroft, S.A.B., 1998, “Nonlinear Rolling of an FPSO with Larger-thanusual Bilge Keels”, OMAE 98, Lisbon.
Stansberg, C.T., Nygaard, I., Ormberg, H.,
Downie, M., Incecik, A. and Graham,
J.M.R., 2001, “Deep Water Truss Spar in
Waves and Current - Experiments vs. Time
Domain Coupled Analysis”, DOT Rio de
Janeiro.
Stansberg, C.T., Baarholm, R., Fokk, T.,
Gudmestad, O.T., and Haver, S., 2004,
“Wave Amplification and Possible Deck
Impact on Gravity Based Structure in 10-4
Probability Extreme Crest Heights”, OMAE
2004, Vancouver, OMAE2004-51506
Stansberg, C.T. and Braaten, H., 2002,
“Nonlinear Wave Disturbance Around a
Vertical Circular Column”, OMAE 2002
Oslo, OMAE2002-28620.
Stansberg, C.T., 2002, “Nonlinear Amplitude
Dispersion Effects in Extreme Deep-Water
Random Waves”, Proc. ASCE Waves ’01
Symposium, San Francisco, Vol. 1, pp. 454463.
Proceedings of the 24th ITTC - Volume I
Stansberg, C.T. and Kristiansen, T., 2004, “Linear and Nonlinear Wave Amplification
Effects Observed at FPSO Bow”, PRADS
2004, Editors Keil H. and Lehmann E.,
Lübeck-Travemünde, Vol. 2, pp. 736-742.
Stansberg, C.T., 1995, “Effects from Directionality and Spectral Bandwidth on Nonlinear
Spatial Modulations of Deep-Water Surface
Gravity Wave Trains”, Proc. 24th ASCE
International Conference on Coastal Engineering, Vol. 2, Kobe.
Stansberg, C.T., 1998, “Non-Gaussian Extremes in Numerically Generated SecondOrder Random Waves on Deep Water”,
ISOPE-98, Montreal, Vol. 3, pp. 103-110.
Stansberg, C.T., 2003, “Second- and Higher
Order Effects in Steep Random Waves”,
ISOPE-2003, Hawaii.
Stansberg, C.T., Baarholm, R., Kristiansen, T.,
Hansen, E.W.M. and Rørtveit, G., 2005,
“Extreme Wave Amplification and Impact
Loads on Offshore Structures”, OTC,
Houston, paper 17487.
Stansberg, C.T., Berget, K., Hellan, O.,
Hermundstad, O.A., Hoff, J.R., Kristiansen,
T. and Hansen, E.W.M., 2004, “Prediction
of Green Sea Loads on FPSO in Random
Waves”, ISOPE-2004, Toulon.
Stansberg, C.T., Karlsen, S.I., Ward, E.G.,
Wichers, J.E.W. and Irani, M.B., 2004,
“Model Testing for Ultradeep Waters”,
Paper No. 16587, OTC, Houston.
Stansberg, C.T., Øritsland, O. and Kleiven, G.,
2000a, “VERIDEEP: Reliable Methods for
Laboratory Verification of Mooring and
Stationkeeping in Deep Water”, Paper
12087, OTC, Houston.
Stansberg, C.T., Ormberg, H. and Oritsland, O.,
2002, “Challenges in Deepwater Experiments – Hybrid Approach”, ASME Journal
303
of Offshore Mechanics and Arctic Engineering, Vol. 124, pp. 90-96.
Stansberg, C.T., Yttervik, R., Øritsland, O. and
Kleiven, G., 2000b, “Hydrodynamic Model
Test Verification of a Floating Platform
System in 3000m Water Depth”, OMAE
2000, New Orleans, paper no. 00-4145
Steen, A., Kim, M.H. and Irani, M.B., 2004,
“Prediction of Spar Responses: Model Tests
vs. Analysis”, OTC, Houston, paper no.
16583.
Sterndorff, M.J., 2002, “Large-Scale Model
Tests With Wave Loading on Offshore Platform Deck Elements”, OMAE 2002, Oslo,
OMAE2002-28624
Suh, K. and Dalrymple, R.A., 1987, “Directional Wavemaker Theory: a Spectral Approach”, Proc. IAHR Seminar, Lausanne,
pp. 389-395.
Suzuki, H., Sawai, T., Oka, N., Masanobu, S.
and Kobayashi, K., 2002, “Wind Loads on
Columns
of
Semi-Submersible-TypeInternational
MegaFloat”,
Proc.11th
Offshore and Polar Engineering, Vol. 1,
pp267-274.
Syvertsen, K. and Lopes, C., 2004, “The SSP:
A New Class of Hull for the Oil Industry”,
OMAE 2004, Vancouver, paper - 51539.
Tahar, A., Halkyard, J., Stenn A. and Finn, L.,
2004, “Float Over Installation Method:
Numerical and Model Test Data”, OMAE
2004, Vancouver, paper - 51069.
Takaki, M., Imai, Y., Lee, S.M., Shibata, S. and
Chiba, S., 2001, “Effect of SubmergedPlate on Hydrodynamic Forces Acting on a
Very Large Floating Structure”, Transactions of The West-Japan SNA. Vol. 103,
pp.195-204.
Tognarelli, M.A., Slocum, S.T., Frank, W.R.,
and Campbell, R.B., 2004, “VIV Response
304
The Ocean Engineering Committee
of a long Flexible Cylinder in Uniform and
Linearly Sheared Currents”, OTC, Houston,
paper no. 16338.
Torres, F.G.S., Cueva, M., Malta, E.B.,
Nishimoto, K. and Ferreira, M., 2004,
“Study of Numerical Models of Moonpol as
Minimization Device of Monocolumn
Hull”, OMAE 2004, Vancouver, paper 51540.
Torsethaugen, K. and Haver, S., 2004, “Simplified Double Peak Spectral Model for Ocean
Waves”, ISOPE-2004, Toulon, France.
Trim, A., Braaten, H., Lie, H. and Tognarelli,
M. A., 2005, “Experimental Investigation of
Vortex-Induced Vibration of Long Marine
Risers”, In press, Journal of Fluid and
Structures.
Trumars, J.M.V., Jonsson, J.O. and Bergdahl,
L., 2003, “Extreme Non-Linear Wave
Forces on a Monopile in Shallow Water”,
OMAE 2003, Cancun, OMAE2003-37049
Utsunomiya, T., Watanabe, E. and Nakamura,
N., 2001, “Analysis of Drift Force on VLFS
byExperiments”, the Near-Field Approach”,
ISOPE-2001, Vol. 1, pp.217-221.
Vandiver, J.K., Marcollo, H., Swithenbank, S.
and Jhingran, V., 2005, “High Mode Number Vortex-Induced-Vibration Field Paper
No. 17383, OTC 2005, Houston, TX, USA.
van Dongeren, A., Klopman, G., Reniers, A.
and Petit, H., 2001, “High Quality Laboratory Wave Generation for Flumes and
Basins”, Proc. 4th International Symposium
on Ocean Wave Measurement and Analysis,
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IMCA station keeping seminar, Paris.
van Dijk, R.R.T., Magee, A., Perryman, S. and
Gebara, J., (2003), “Model Test Experience
on Vortex Induced Vibrations of Truss
Spars”, OTC, Houston.
van Dijk, R.R.T., Quiniou-Ramus, V. and LeMarechal, G., 2003, “Comparison of Full
Scale Measurements with Calculated
Motion Characteristics of a West of Africa
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van Dijk, R.R.T., Voogt, A., Fourchy, P. and
Mirza, S., 2003, “The Effect of Mooring
System and Sheared Currents on Vortex
Induced Motions of Truss Spars”, OMAE,
Cancun.
van Iperen, E.J., Forristall, G.Z., Battjes, J.A.,
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Waves by a Concrete Gravity SubStructure: Linear Diffraction Analysis and
Estimating the Extreme Crest Height”,
OMAE 2004, Vancouver, OMAE200451022
Waals, O.J., Aalbers, A.B. and Pinkster, J.A.,
2002, “Maximum Likelihood Method as a
Means to Estimate the Directional Wave
Spectrum and the Mean Wave Drift Force
on a Dynamically Positioned Vessel”,
OMAE 2002, Oslo.
Watanabe, E., Utsunomiya, T., Wang, C.M. and
Xiang, Y., 2003, “Hydroelastic Analysis of
Pontoon-Type Circular VLFS”, ISOPE2003, Vol.1, pp. 93-99, USA.
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Thematic Network on Wave Energy”,
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Dynamic Positioning Systems; Integrating
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Fluid Mechanics, Vol. 438, pp. 11-39.
Yilmaz, O., Incecik, A. and Han, J.C., 2003,
“Simulation of green water flow on deck
using non-linear dam breaking theory”,
Ocean Engineering, Vol. 30, pp. 601-610.
Zaman, M.H. and Baddour, R.E., 2004, “Loading on a Fixed Vertical Slender Cylinder in
an Oblique Wave-Current Field”, OMAE
2004, Vancouver, OMAE2004-51062.
Zou, J., Ormberg, H. and Stansberg, C.T, 2004,
“Prediction of TLP Responses: Model Tests
vs. Analysis”, OTC, Houston, paper no.
1658.
16.2 Nomenclature
BOSS
DOT
ISOPE
IWWWFB
Yuck, R.H., Lee, D.H. and Choi, H.S., 2003,
“Estimation of Roll Damping Coefficients
for Non-conventional Mid-ship Sections”,
ISOPE-2003, USA, ISBN 1–880653-60–5
(Set); ISSN 1098–6189 (Set)
OMAE
OTC
Yung, T.-W., Sandström, R.E., Slocum, S.T.,
Ding, Z.J. and Lokken, R.T, 2004, “Advancement of Spar VIM Prediction”, OTC,
Houston, OTC2004-16343
Zaaijer, M.B. and Henderson, A.R., 2004, “Review of Current Activities in Offshore Wind
Energy”, ISOPE-2004, Toulon, pp.101-108.
305
PRADS
Behaviour of Offshore
Structures Conference
Deep Offshore Technology
International Conference
International Offshore and Polar
Engineering Conference
International Workshop on
Water Waves and Floating
Bodies
International Conference on
Offshore Mechanics and Artic
Engineering
Offshore Technology
Conference
International Symposium on
Practical Design on Ships and
Other Floating Structures
306
The Ocean Engineering Committee
APPENDIX A: QUESTIONNAIRE ON
MODELLING / SIMULATION OF WIND
ENVIRONMENTS
A questionnaire on modelling/simulating
the wind environments was distributed to
monitor the state of the art practices and
procedures in model basins. Thirteen
institutes responded to the questionnaire but
two of them don’t operate wind force
modelling devices. The list of the institutes
that participated in the questionnaire is given
in Table A.1 Contents of the questionnaire are
presented in Table A.2 Modelling methods of
wind forces in model tests are summarised in
Table A.3 and numerical simulation methods
are summarised in Table A.4. The name of
institutes is arbitrarily symbolised from A to
M.
Most of institutes (8 out of 11) use arrays
of fans to simulate wind forces caused by
wind field. The remaining three institutes use
fans mounted on the model deck. Spring-
weight-wire systems seem to be used as a
complementary method to the previous two
methods. Most of the institutes (10 out of 11)
use RPM control for adjusting wind forces.
About half (6 of 11) of them simulate wind
spectra in the basins.
The force matching method and Froude
scaling method are equally used for
generating wind forces. Wind drag
coefficients are obtained from wind tunnel
tests and other empirical data, but CFD results
are not accepted yet.
All the institutes doing numerical
simulations
use
empirical
formula
proportional to square of the wind velocity
and, if they simulate wind spectra, the
harmonic superposition method for generating
time series. Only three participants answered
that they consider non-stationary properties
such as squall, which causes significant
changes of wind in time and space.
Table A.1- List of participation institutes.
Name of Institutes
CEHIPAR(Canal de Experiencias Hidrodinamicas de El
Pardo)
DHI(Danish Hydraulic Institute)
Delft Hydraulics
Hiroshima University
KRISO/KORDI (Korea Research Institute of Ships and Ocean
Engineering, KORDI)
MARIN(Maritime Research Institute Netherlands)
MARINTEK
NMRI(National Maritime Research Institute of Japan)
Country
Spain
Remarks*
M/S
Denmark
Netherlands
Japan
Korea
M/S
None
None
M/S
Netherlands
Norway
Japan
NRIFE(National Research Institute of Fisheries Engineering)
Offshore Model Basin
OTRC(Offshore Technology Research Center)
The University of Tokyo
IOT(Institute for Ocean Technology)
Japan
USA
USA
Japan
Canada
M/S
M/S
M/S,
2 facilities
M/S
M
M/S
M
M
M: Model tests, S: Numerical simulation
Proceedings of the 24th ITTC - Volume I
307
Table A.2- Contents of the questionnaire on modelling/simulation of wind environments.
Questionnaire on Modelling/Simulation of Wind Environments (I)
Name of Institute (wave basin):
Modelling method of generation of wind force in the wave basin
-Wind force generation mechanism
Array of fans ( )
Fans mounted on the model deck ( )
Spring-weight ( )
Other (No equipment
)
For case of (1) or (2), control of
-Fan RPM ( )
-Blade pitch ( )
-Other (
)
-Wind spectrum modelling
(1) Yes ( )
API( ), NPD( ), Davenport( ), Harris( ), Ochi-Shin( ), Kaimal( ), (Other:
(2) No ( )
-Wind speed in model scale
(1) Force matching ( )
Use CD from wind tunnel test ( ), data base such as OCIMF ( ), CFD ( ),
other (
)
(2) Froude scale ( )
(3) Other (
)
-Brief description of the wind force calibration procedure
)
Questionnaire on Modelling/Simulation of Wind Environments (II)
Name of Institute (wave basin):
Modelling method of generation of wind force in numerical simulation
-Wind force generation mechanism
(1) Empirical formula ( ) : F ~ V2
Use CD from wind tunnel test ( ), data base such as OCIMF ( ), CFD ( ), other(
Direct calculation by CFD ( )
-Wind spectrum modelling
(1) Yes ( )
API( ), NPD( ), Davenport( ), Harris( ), Ochi-Shin( ), Kaimal( ), (Other:
(2) No ( )
-Wind velocity time series
(1) Harmonic superposition ( )
(2) Filtering method such as ARMA ( )
(3) Other (
)
)
)
308
The Ocean Engineering Committee
-Consideration of non-stationary property
(1) Yes ( )
(2) No ( )
If yes, what do you consider? (
-Additional comments
)
Table A.3- Summary of the questionnaire on modelling of wind environment.
(1) Wind force generation and control system
Institutes*
A B C D E F G H I J
(Mechanism)
9 9 9 9
9 9
Array of fans
9
9
Spring-weight 9
9
Fans mounted 9 9
on the deck
Other
(Control)
9 9
9 9 9 9 9 9 9
Fan RPM
9
Blade pitch
Other
* Name of institutes is arbitrarily symbolised in alphabet character
(2) Spectrum modelling
Institutes
A B C D E F
(Spectrum model)
9
API
9
NPD
9
9
Davenport
9
Haris
9
Ochi-Shin
9
Kaimal
9
9
Other*
9 9
(No spectrum model)
* any form of wind spectrum provided from clients
(3) Wind speed in model scale
Institutes
A B C
9
(Force matching)
9
CD from wind tunnel test
9
CD from data base
(e.g.,OCIMF)
CD from CFD
Other*
9
(Froude scale)
(Other)
* empirical formula or client specified CD
D E
9
9
9
9
G
H
I
9
9
9
9
9
9
9
9
K L M
9
9
9
9
9
9
9
F
J
K
L
9
9
9
G
H I J
9 9
9 9
9
9 9 9 9 9
M
9
K L
9
M
9
9
9
9
9
9
Proceedings of the 24th ITTC - Volume I
Table A.4- Summary of the questionnaire on simulation of wind environments.
(1) Wind force generation mechanism.
Institutes
A B C D E F G H I J K L M
9 9
9 9
9
9
(Empirical formula ~V2)
9
9
9 9
9
9
CD from wind tunnel test
9
9
CD from data base(e.g.,OCIMF)
9
9
Other
(Direct calculation by CFD)
(2) Wind spectrum.
Institutes
A B C D E F G H I J K L M
9
9
9
9
9
(Spectrum model)
9
9
API
9
9
NPD
9
9
Davenport
9
9
Haris
9
9
Ochi-Shin
9
Kaimal
9
9
Other*
9
(No spectrum model)
* any form of wind spectrum provided from clients
(3) Wind velocity time series.
Institutes
A B C D E F G H I J K L M
9
9
9
9
9
Harmonic superposition
Filtering method such as ARMA
9
Other
(4) Consideration of non-stationary property.
Institutes A B C D E F G H I J K L M
9
9
9
(Yes)
9
9
time
space
9
9 9
9
(No)
309
310
The Ocean Engineering Committee
APPENDIX B: NONLINEAR EFFECTS IN
STEEP 100-YEAR RANDOM WAVES
(BENCHMARK STUDY)
This Appendix describes the specification
and the data sets of a benchmark study carried
out by the 24th ITTC Ocean Engineering
Committee. Final results from the study are
presented in Section 13 of the main Report.
B.1 Purpose
To compare extreme wave and crest heights
from different independent storm wave
simulations and prediction models, using stateof-the-art laboratory and numerical methods.
To identify and discuss non-linear effects
and variability in results, with possible
consequences on the modelling of extremes in
a 100-year storm sea state.
B.2 Specification
Reference storm: Hs=15m, Tp=16s
(100-year Northern North Sea)
Sea states: Cover a range of steepness
around the reference case; also 1-year and
10000-year storms (see Fig. B.1)
Reference spectrum details:
Single-peaked JONSWAP spectrum, γ
(Gamma) = 2.0.
Water depth: 150m.
No current
Unidirectional.
Deviations from reference details: Actual
contributions may deviate from above details,
but must be documented and may be treated
separately
Simulation
/
prediction
methods:
Laboratory modelling; numerical simulation;
statistical models.
Storm duration: 3 hours (full scale). More
than one realisation may be included –
however, results for each should be given.
Figure B.1- Scatter diagram, Northern North
Sea (Stansberg et al., 2004). Additionally, the
“Reference” 100-year sea state and suggested
sea state range for the OEC extreme wave
benchmark are indicated.
B.3 Documentation of data for bench
marking analysis
Primary
data
from
measurements:
Significant wave height HS (= Hm0), Peak and
zero-crossing periods TP, TZ, 3-hour
maximum wave and crest height Hmax, Amax
(specify if sample maxima or fitted estimates)
Supplementary information:
Type of lab (basin, narrow tank, size etc.)
Model scale.
Measuring location.
Spectral shape (plots; ASCII or Excel
tables).
Statistical data: Skewness; kurtosis; mean
values; standard deviation, zero-crossing
statistics.
Probability distributions (plots; ASCII or
Excel tables).
Grouping information.
Deviations from reference spectrum
details.
Special comments or information, if any.
Proceedings of the 24th ITTC - Volume I
B.4 Analysis and presentation of results
Main comparison. 3-hour extreme wave
and crest heights, Hmax, Amax, will be
normalised by the corresponding significant
wave height, Hmo, and presented versus the
“sea state steepness”, sp = Hmo / LP., where LP
is the wavelength corresponding to the spectral
peak period, TP. Non-linear effects and trends
in the data will be identified and discussed.
Supplementary results. It is the intention
also to consider possible explanations to
observed effects and variations. Therefore
some additional background info such as
spectral shape, statistical characteristics,
grouping, laboratory effects etc. will also be
relevant in the analysis. For example, the
spectral shape may influence the estimation of
the effective steepness of the sea state.
B.5 Participating Institutes
The following four institutes contributed to
the benchmark study (listed alphabetically):
Institute of Ocean Technology (IOT),
Canada
Korea Ocean Research and Development
Institute (KORDI), Korea
311
Marin Research Institute Netherlands
(MARIN), The Netherlands
Norwegian Marine Technology Research
Institute AS (MARINTEK), Norway
In the presentation of final results (main
report), the different institutes are listed as Lab
A-B-C-D, in a random order with no reference
to the actual order above.
B.6 Contributed Data
Results from unidirectional irregular wave
records of 3-hours full scale duration were
submitted from the participating institutes.
Model scales were in the range ≈ 1:50 – 1:70.
Measurements were made in model basins
normally used for offshore model testing,
typically at a distance 5 -7 wavelengths from
the wavemaker. All tests were run with singlepeaked JONSWAP spectra, with the peak
enhancement factor in the range 1.6 – 5.5. Full
scale significant wave heights and peak periods
were in the range 5.8m – 18.5m and 10.6s –
18.0s, respectively, which corresponds
approximately with the area indicated in the
scatter diagram in Fig. B.1. Most tests were run
without current.
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