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Risk-based methodology for parameter calibration of a reservoir flood control model

机译:基于风险的储层洪水控制模型参数校准方法论

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摘要

Flash floods are of major relevance in natural disaster management in the Mediterranean region. In many cases, the damaging effects of flash floods can be mitigated by adequate management of flood control reservoirs. This requires the development of suitable models for optimal operation of reservoirs. A probabilistic methodology for calibrating the parameters of a reservoir flood control model (RFCM) that takes into account the stochastic variability of flood events is presented. This study addresses the crucial problem of operating reservoirs during flood events, considering downstream river damages and dam failure risk as conflicting operation criteria. These two criteria are aggregated into a single objective of total expected damages from both the maximum released flows and stored volumes (overall risk index). For each selected parameter set the RFCM is run under a wide range of hydrologic loads (determined through Monte Carlo simulation). The optimal parameter set is obtained through the overall risk index (balanced solution) and then compared with other solutions of the Pareto front. The proposed methodology is implemented at three different reservoirs in the southeast of Spain. The results obtained show that the balanced solution offers a good compromise between the two main objectives of reservoir flood control management.
机译:Flash洪水在地中海地区的自然灾害管理中具有重要意义。在许多情况下,通过对防洪水库的充分管理,可以减轻闪光洪水的破坏性影响。这需要开发适当的模型以获得储层的最佳运行。提出了一种校准考虑洪水事件随机变异的水库洪水控制模型(RFCM)参数的概率方法。本研究解决了洪水事件期间运营储存器的关键问题,将下游河流损坏和坝故障风险视为冲突的运作标准。这两个标准被聚集成单个目标,从最大释放的流量和储存量(总体风险指数)中的总预期损坏。对于每个选定的参数,设置RFCM在宽范围的水文负载下运行(通过蒙特卡罗模拟确定)。通过整体风险指数(平衡解决方案)获得最佳参数集,然后与帕累托前部的其他解决方案进行比较。拟议的方法在西班牙东南部的三个不同水库实施。得到的结果表明,平衡式解决方案在水库防洪管理的两个主要目标之间提供了良好的折衷。

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