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Choices Magazine Online. Quarter 2. 01. 3Lisa A. Shortle. JEL Classifications: Q1. Q1. 8, Q5. 3Keywords: Agriculture, Agricultural Policy, Clean Water Act, Nonpoint Source Pollution, Water Quality, Water Quality Trading. Citation: Wainger, L. A., and J. S. Available online: http: //choicesmagazine. 2001 - Nitrogen Credit Exchange Program Created and Nitrogen General Permit Issued Abstract: On July 6, 2001, Connecticut passed Public Act 01-180 enabling the creation of the Nitrogen Credit Exchange program and a. Watershed-Based Permitting Case Study Long Island Sound, Connecticut their nitrogen removal project are eligible to sell equalized nitrogen credits through the Nitrogen Credit Exchange Program. Facilities that cannot meet. Water Quality Trading Toolkit for Permit Writers. Long Island Sound Nitrogen Credit Exchange Program (Connecticut). Water Quality Trading Toolkit for Permit Writers A-2. CONNECTICUT NITROGEN CREDIT EXCHANGE PROGRAM 2 of 7 Professor Ann Powers Fifth Goddard Forum -- April 5, 2005 INTRODUCTION Long Island Sound is a cherished national natural resource, surrounded by some. Local Innovations in Water Protection: Experiments with Economic. Online Nitrogen Analyzers for Nitrogen Credit Exchange Program in Connecticut (NUTR1R06y) The Central Issue. As part of Connecticut’s Nutrient Credit Exchange program, the Connecticut Nutrient Credit Advisory Board (NCAB). State: Program: California: Grassland Area Farmers Tradable Loads Program Colorado: Pollutant Trading Policy Chatfield Reservoir Cherry Creek Lake Dillon Reservoir: Connecticut: Connecticut Nitrogen Credit Exchange Program. The ineffectiveness of traditional agricultural policies to reduce nutrient- related water quality impairments has prompted some states, local environmental and conservation agencies, and some nonprofit groups, to experiment with new approaches. This article examines innovations that make use of economic incentives to engage the agricultural sector in nutrient and sediment controls. It focuses on various forms of water quality trading, but also presents some other novel uses of incentives aimed at promoting cost- efficiency. Weighing the Performance of Water Quality Trading. Water quality trading (WQT) is a major innovation in water quality protection policy that allows exchange of pollution credits among emitters to lower the costs of achieving a pollution cap. Such programs rely on a regulatory framework that compels polluters to participate and offers the flexibility necessary to conduct cost- saving trades. Under the Clean Water Act of 1. CWA), point dischargers are required to have National Pollution Elimination System (NPDES) permits to discharge into the nation’s waters. Initially, the permits imposed technology- based effluent limits, developed by the U. S. Environmental Protection Agency (EPA), that were independent of water quality conditions affected by the discharges. Failure to achieve water quality standards through this regulatory mechanism led to lawsuits requiring the EPA to enforce the Total Maximum Daily Load (TMDL) provisions of the CWA. These provisions require state water quality authorities to establish pollution load limits and allocations for both point and nonpoint sources consistent with desired in- water uses, and to implement plans to achieve these limits. Point source load allocations to meet TMDLs are enforced through water quality- based effluent limits that are in addition to the technology- based standards. In one form, WQT enables regulated sources to meet these additional effluent limits by acquiring environmentally equivalent (or greater) effluent reductions from other sources. In another, WQT replaces individual requirements with a “group” permit applicable to a set of regulated sources. The economic rationale for WQT is that it can achieve water quality standards at a lower cost than traditional, non- tradable effluent standards or technology requirements. Such cost savings can occur when load reductions can be generated at lower cost from a substitute source or sources. The expectation that trading could lower the costs of water quality protection led to various experiments and demonstration projects beginning in the 1. Interest in the mechanism increased substantially beginning in the mid- 1. SO2 trading program used to control acid rain became clear and EPA’s TMDL initiatives were increasing in number and scope. Trading programs under the TMDL are created by states or sub- state entities subject to the states. These initiatives have been encouraged by the EPA since the late 1. EPA and the U. S. Department of Agriculture (USDA). The federal interest was prompted, in part, by studies indicating that the costs of TMDL compliance to the nation could be substantially reduced by WQT (US EPA, 2. In their survey, Selman et al. Several additional initiatives have been undertaken since this survey. WQT initiatives have been both ad hoc—with the terms of trades developed and agreed upon on a case- by- case basis between specific entities—and formal—with trade rules put in place to govern market trading between multiple, unspecified entities within specific geographic areas such as watersheds. In prominent ad hoc examples, Rahr Malting Company in 1. Southern Minnesota Beet Sugar Cooperative in 1. Minnesota River meet permit requirements. Among the formal trading programs, some are limited to point sources, while others enable trading between point and nonpoint sources. The most prominent point- point example is the Connecticut Nitrogen Credit Exchange Program, established in 2. Connecticut River to comply with a TMDL for Long Island Sound. Highly visible programs allowing point sources to trade with agricultural nonpoint sources for nutrients have been developed over the last decade, mainly by states in the Chesapeake Bay watershed (Maryland, Pennsylvania, and Virginia), and in Ohio for the Greater Miami watershed. Successful Trading Within Source Sectors. The success stories in water- quality trading have been programs that promoted trading among point sources. Within- sector trading overcomes many challenges to cross- sector trading, including the technical barrier of judging the environmental equivalence between nutrients emitted directly into the impaired body of water with nutrients emitted within the watershed. This trading has, therefore, been seen as carrying a lower risk of environmental harm and been more politically acceptable. The innovation that allows within- sector trading is a move from individual, technology- based requirements for NPDES permits to a performance- based “group cap” that is shared among a group of permit holders. This approach provides flexibility in how to comply and has driven innovation where it has been used. Two of the country’s oldest trading programs highlight the potential for within- sector trading to reduce the costs of compliance of achieving nutrient caps: Tar- Pamlico Sound and Neuse River. In both North Carolina programs, the point source dischargers have been able to meet and exceed nutrient caps. Trading gave flexibility to wastewater treatment plants (WWTPs) to follow their regular upgrade schedule because plants that upgraded first were able to generate enough excess capacity and credits to those waiting to upgrade. By phasing in upgrades, costs were substantially lower than those associated with simultaneous upgrades at all plants (Shabman and Stephenson, 2. Further, the permit flexibility provided room for experimentation that led to new approaches to reducing nutrients through changes in the production process. Although the caps were achieved and money was saved in the North Carolina basins, the water quality outcomes cannot be judged a success. Chlorophyll a levels in the Tar- Pamlico estuary remain high, and gage data and models in the Neuse suggest that nutrient loads have not been reduced. An explanation for the lack of response is that the caps were not sufficiently stringent to achieve water quality outcomes. However, a wide variety of alternative hypotheses including lags in estuarine response or problems with calculations are being considered. The lack of environmental success despite achieving cost- effective compliance reinforces the necessity of engaging all sectors in achieving environmental goals. North Carolina has, perhaps, been most innovative in this regard by experimenting with a group cap for non- point source emitters in the Neuse basin. To achieve a 3. 0% nitrogen reduction goal from agriculture, producers are required—under threat of civil or criminal penalties—to either individually implement a set of best management practices or join an association that will develop and implement a “collective local strategy” (North Carolina Environmental Management Commission, 1. The effectiveness of this approach is not clear at this point. In the case of the point source group cap, the program was successful at reducing costs of compliance because, instead of regulating how to comply, plants were told what reductions were needed. However, an important caveat to the point source success story is that trading has generally not been used to forgo major investments in technological approaches to reducing nutrients. Rather, it has been used largely to improve the efficiency of upgrading multiple plants at once by providing more time for compliance by all emitters. Greater cost savings come from avoiding cost- inefficient technological investments. For example, it is generally less efficient to install state- of- the- art technology at small WWTPs because the relatively small reduction in nutrient loads from such investments comes at a high cost. In Virginia, multiple plants with a single owner can be given one effluent limit for all owned plants to avoid unneeded technology upgrades—demonstrating that even more flexible permitting rules can enhance cost- savings. Point- Nonpoint Trading. As suggested above, WQT between industrial and municipal point sources and agricultural nonpoint sources is interesting because it offers the potential to integrate the control of point and nonpoint sources (Shortle and Horan, 2. Pollution policies have historically addressed the two types separately. Such a separation is at odds with the “watershed- based approach” to water quality management thought to be most efficient by water quality scientists. Equally crucial to realizing the potential economic gains from water quality trading is effective and efficient trading between point and agricultural nonpoint sources because it helps to achieve goals at the lowest cost. Economic assessments indicate that the incremental benefits of the CWA stopped exceeding the incremental costs sometime after the late 1. Olmstead, 2. 01. 0). Two policy choices drove this flip (Shortle and Horan, 2. One is that water quality goals have been pursued through increasingly stringent and costly point source controls rather than through lower- cost nonpoint source controls. Further, the diminishing returns to point pollution controls are exacerbated by the use of highly inefficient, technology- based, uniform effluent standards. Look for Your Product Below. Product Support Videos. PDF Search Engine Search And Download eBooks for Free. Preview Panasonic Viera Tv User Guide.pdf.Download reparacion de un tv sanyo modelo. Descubre una experiencia visual m. Registra tu producto samsung y vive la. Database of technical manuals for free instant download. Manual, Service manuals, Repair manuals, products of ManualUniverse.com. Sanyo TV manual de reparacion descargar esquema de circuito download pdf gratis manual de. Manual tv samsung model ct-721ap - download for free. Explore our wide range of handy support videos. Explore our wide range of handy support videos .. LA1. 5S5. 1B: Easy Manual (Quick Guide) (ver. Below are quick links to some popular Samsung TV models . Read our expert reviews, .. Step by Step Select a product category Close Copyright@ 1. SAMSUNG . Copyright@ 1. SAMSUNG . AM. European Union law is a system of rules operating. EUR- Lex - 3. 20. L0. 02. 4 - EN2. 8. ENOfficial Journal of the European Union. L 9. 4/6. 5DIRECTIVE 2. EU OF THE EUROPEAN PARLIAMENT AND OF THE COUNCILof 2. February 2. 01. 4on public procurement and repealing Directive 2. EC(Text with EEA relevance)THE EUROPEAN PARLIAMENT AND THE COUNCIL OF THE EUROPEAN UNION,Having regard to the Treaty on the Functioning of the European Union, and in particular Article 5. Article 6. 2 and Article 1. Having regard to the proposal from the European Commission,After transmission of the draft legislative act to the national parliaments,Having regard to the opinion of the European Economic and Social Committee (1),Having regard to the opinion of the Committee of the Regions (2),Acting in accordance with the ordinary legislative procedure (3),Whereas: (1)The award of public contracts by or on behalf of Member States’ authorities has to comply with the principles of the Treaty on the Functioning of the European Union (TFEU), and in particular the free movement of goods, freedom of establishment and the freedom to provide services, as well as the principles deriving therefrom, such as equal treatment, non- discrimination, mutual recognition, proportionality and transparency. European Semester Conference. This report summarises the results of the project “Wage Dispersion in the European Union”. The structure of Member States'. Existing European Union and. Electronic Signatures and Infrastructures (ESI); Trusted. PDF EPUB PRINT; The EU in 2015. The European Union and its Member States were pivotal in brokering the historic agreement. However, for public contracts above a certain value, provisions should be drawn up coordinating national procurement procedures so as to ensure that those principles are given practical effect and public procurement is opened up to competition.(2)Public procurement plays a key role in the Europe 2. Commission Communication of 3 March 2. For that purpose, the public procurement rules adopted pursuant to Directive 2. EC of the European Parliament and of the Council (4) and Directive 2. EC of the European Parliament and of the Council (5) should be revised and modernised in order to increase the efficiency of public spending, facilitating in particular the participation of small and medium- sized enterprises (SMEs) in public procurement, and to enable procurers to make better use of public procurement in support of common societal goals. ICN Working Group on Telecommunications Services. European Union Directorate General for Competition. ICN Working Group on Telecommunications Services it. There is also a need to clarify basic notions and concepts to ensure legal certainty and to incorporate certain aspects of related well- established case- law of the Court of Justice of the European Union.(3)When implementing this Directive, the United Nations Convention on the Rights of Persons with Disabilities (6) should be taken into account, in particular in connection with the choice of means of communications, technical specifications, award criteria and contract performance conditions.(4)The increasingly diverse forms of public action have made it necessary to define more clearly the notion of procurement itself; that clarification should not however broaden the scope of this Directive compared to that of Directive 2. EC. The Union rules on public procurement are not intended to cover all forms of disbursement of public funds, but only those aimed at the acquisition of works, supplies or services for consideration by means of a public contract. It should be clarified that such acquisitions of works, supplies or services should be subject to this Directive whether they are implemented through purchase, leasing or other contractual forms. The notion of acquisition should be understood broadly in the sense of obtaining the benefits of the works, supplies or services in question, not necessarily requiring a transfer of ownership to the contracting authorities. Furthermore, the mere financing, in particular through grants, of an activity, which is frequently linked to the obligation to reimburse the amounts received where they are not used for the purposes intended, does not usually fall within the scope of the public procurement rules. Similarly, situations where all operators fulfilling certain conditions are entitled to perform a given task, without any selectivity, such as customer choice and service voucher systems, should not be understood as being procurement but simple authorisation schemes (for instance licences for medicines or medical services).(5)It should be recalled that nothing in this Directive obliges Member States to contract out or externalise the provision of services that they wish to provide themselves or to organise by means other than public contracts within the meaning of this Directive. The provision of services based on laws, regulations or employment contracts should not be covered. In some Member States, this might for example be the case for certain administrative and government services such as executive and legislative services or the provision of certain services to the community, such as foreign affairs services or justice services or compulsory social security services.(6)It is also appropriate to recall that this Directive should not affect the social security legislation of the Member States. Nor should it deal with the liberalisation of services of general economic interest, reserved to public or private entities, or with the privatisation of public entities providing services. It should equally be recalled that Member States are free to organise the provision of compulsory social services or of other services such as postal services either as services of general economic interest or as non- economic services of general interest or as a mixture thereof. It is appropriate to clarify that non- economic services of general interest should not fall within the scope of this Directive.(7)It should finally be recalled that this Directive is without prejudice to the freedom of national, regional and local authorities to define, in conformity with Union law, services of general economic interest, their scope and the characteristics of the service to be provided, including any conditions regarding the quality of the service, in order to pursue their public policy objectives. This Directive should also be without prejudice to the power of national, regional and local authorities to provide, commission and finance services of general economic interest in accordance with Article 1. TFEU and Protocol No 2. Services of General Interest annexed to the TFEU and to the Treaty on European Union (TEU). In addition, this Directive does not deal with the funding of services of general economic interest or with systems of aid granted by Member States, in particular in the social field, in accordance with Union rules on competition.(8)A contract should be deemed to be a public works contract only if its subject- matter specifically covers the execution of activities listed in Annex II, even if the contract covers the provision of other services necessary for the execution of such activities. Public service contracts, in particular in the sphere of property management services, may, in certain circumstances, include works. However, in so far as such works are incidental to the principal subject- matter of the contract, and are a possible consequence thereof or a complement thereto, the fact that such works are included in the contract does not justify the qualification of the public service contract as a public works contract. However, in view of the diversity of public works contracts, contracting authorities should be able to make provision for contracts for the design and execution of work to be awarded either separately or jointly. This Directive is not intended to prescribe either joint or separate contract awards.(9)The realisation of a work corresponding to the requirements specified by a contracting authority requires that the authority in question must have taken measures to define the type of the work or, at the very least, have had a decisive influence on its design. Whether the contractor realises all or part of the work by his own means or ensures their realisation by other means should not change the classification of the contract as a works contract, as long as the contractor assumes a direct or indirect obligation that is legally enforceable to ensure that the works will be realised.(1. The notion of . To clarify that the scope of this Directive ratione personae should remain unaltered, it is appropriate to maintain the definitions on which the Court based itself and to incorporate a certain number of clarifications given by that case- law as a key to the understanding of the definitions themselves, without the intention of altering the understanding of the concepts as elaborated by the case- law. For that purpose, it should be clarified that a body which operates in normal market conditions, aims to make a profit, and bears the losses resulting from the exercise of its activity should not be considered as being a . It should therefore be clarified how contracting authorities should determine whether the different parts are separable or not. Such clarification should be based on the relevant case- law of the Court of Justice of the European Union. The determination should be carried out on a case- by- case basis, in which the expressed or presumed intentions of the contracting authority to regard the various aspects making up a mixed contract as indivisible should not be sufficient, but should be supported by objective evidence capable of justifying them and of establishing the need to conclude a single contract. Such a justified need to conclude a single contract could for instance be present in the case of the construction of one single building, a part of which is to be used directly by the contracting authority concerned and another part to be operated on a concessions basis, for instance to provide parking facilities to the public. It should be clarified that the need to conclude a single contract may be due to reasons both of a technical nature and of an economic nature.(1. The Highest Level of Service in the Merch Industry. WuWearShoes.com - Official Wu Wear shoes, Wu Tang T Shirts. Official Wu-Tang Shirts Now On Sale! 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EP-MISC-001 : Simple program that adjusts the PLC clock to account for Daylight Saving Time. Can be used in DL250, 350, 450 and DL05 if the optional. Program examples for Mitsubishi PLCs FX3U: FX3UPulsePositioningFRA700 library program examples ExampleControlAx1 Program description The example uses a FR-A 740 Frequency Inverter with a FR-A7AP plug-in option for vector. What to know about PLC ladder diagram programming. When a timing instruction is created in the PLC program. 1 ladder diagram program shows an example of a function block that is used to send. Example A: Use the instructions (set, reset) with the timer (SM0.4) to turn an output on/off after several pulses from the SM0.4 timer. Example Programs for PLC Fatek equipped with FBs-CMGSM Example 1 – example. SMS command has to have following. Look at the title page for any special instructions. Is the example the only thing executing in the CPU and has the CPU gone from. PROGRAM mode to RUN mode to allow the first scan logic to run? Does the CPU type and I/O match the example? If you still have problems give us a call. Thank you - The Automation. Direct Technical Support Team THE INFORMATION PROVIDED IN AUTOMATIONDIRECT TECHNOTES IS PROVIDED . These documents are provided by our technical support department to assist others. We. do not guarantee that the data is suitable for your particular application, nor do we assume any responsibility. Directory: Please note: additional sample programs for C- more Operator. Interface panels can be found at the c- more. Instructions: The program you will download depends on which CPU you have. Find your. CPU in the colored columns on the right, and click the Win. ZIP icon. to download the right example program. The absence of an icon for a given CPU means that the example. CPU. Counters. 05. CLICKP3. 00. 0Do- more. EP- CT- 0. 01 Example of how to calculate RPM for a device. High Speed Counter inputs on the 1. CPU. 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