Ignoring Quantitative Reasoning: The Initial Estimates of the Size of the Deepwater Horizon Oil Spill of 2010 and the Failure of Science in Properly Shaping the Policy Response

2019 ◽  
Vol 3 (1) ◽  
pp. 1-7
Author(s):  
Gregory D. Bothun

The initial estimate of the flow rate of now liberated crude oil following the explosion and sinking of the Deepwater Horizon oil platform turned out to be a factor of 50 times lower than the physical reality. This initial estimate, provided by the corporate owner of the oil platform, British Petroleum (BP), was a leak rate of 1,000 barrels per day (bpd). This number was not based on any scientific approach and was never put into context, for the media or the public, of whether this was a big or small number (i.e., how many bpd is equivalent to filling a bathtub for 24 h) and was simply accepted as the physical reality. As a consequence, the initial response to the disaster would plan for a scope that was much smaller than what ultimately unfolded. Furthermore, since 1,000 bpd turns out to be a small number, the initial strategy was based on the belief that the leak could be patched and therefore a fix was manageable. Here we show that (a) simple physical reasoning at the time of the occurrence would have lead to initial estimates that were close to the final estimate (determined 2 months after the initial incident) of about 50,000 bpd; (b) there was an unnecessarily slow time evolution to involve the scientific community to gather relevant data that would vastly improve the estimate and; (c) this slow evolution in unmasking the physical reality of the situation prevented a more robust governmental response to the problem. Even though the government, through National Oceanic and Atmospheric Administration (NOAA), revised the leak rate to 5,000 bpd one week after the disaster, another month would elapse before it was officially recognized that the leak rate was essentially 10 times higher.

2019 ◽  
pp. 235-252
Author(s):  
Rebekka A. Larson ◽  
Gregg R. Brooks ◽  
Patrick T. Schwing ◽  
Arne R. Diercks ◽  
Charles W. Holmes ◽  
...  

2011 ◽  
Vol 38 (7) ◽  
pp. n/a-n/a ◽  
Author(s):  
T. B. Ryerson ◽  
K. C. Aikin ◽  
W. M. Angevine ◽  
E. L. Atlas ◽  
D. R. Blake ◽  
...  

2021 ◽  
Vol 2 (Fall/Winter) ◽  
pp. 1-15
Author(s):  
Daniel Valle

This paper analyzes the gradual transition of British Petroleum (BP), one of the world's largest oil and gas companies, into a renewable energy company focused on sustainability and the reduction of carbon emissions. BP's leadership and ethical practices are compared before and after the 2010 Deepwater Horizon disaster. The purpose of the comparison and the broader analysis of the transition is to identify how effective leadership can be used to transform a company with a suspect social responsibility record into a leader among its peers. Lessons learned from the disaster, and the subsequent transition conclude the research.


1999 ◽  
Vol 1999 (1) ◽  
pp. 671-676
Author(s):  
Carolyn M. White

ABSTRACT Failure to attend to causation and liability issues as soon as an incident occurs in the United States will haunt any (potentially) responsible party long after the actual response efforts have ended. Even during the often chaotic phase of initial response efforts, it is critical for responsible parties to have a system in place for handling internal investigations as well as responding to government inquiries. This paper describes issues and procedures that should be planned well in advance of a spill, and suggests specific steps for a company to follow to protect its interests during an internal company or external government investigation. Topics include preserving physical evidence, protecting the confidentiality of internal investigative records, identifying when the government is in an investigatory role, protecting the company and individuals during government interviews, and managing the resources dedicated to responding to an investigation while also cleaning up the spill.


1978 ◽  
Vol 18 (02) ◽  
pp. 87-95 ◽  
Author(s):  
Elmer L. Dougherty ◽  
John Lohrenz

Abstract This study of Outer Continental Shelf (OCS) bid data, plus a critical analysis of other such studies, was made to determine the impact of joint bidding on competitiveness of OCS lease sales, It concludes that no class of joint bids has been shown to reduce the level of competition. Banning joint bidding by two or more major oil companies did result in an abrupt increase in the number of pint bids that included one major. Introduction Sealed, competitive bids for U.S. offshore oil and gas leases are classed as either solo or joint bids. Solo bids are submitted by one bidder with 100-percent ownership. Joint bids are submitted by several bidders who divide ownership among themselves. The pragmatic question that triggered this study was, "Is there a kind of solo or joint bid whose occurrence tends to decrease the number of sealed, competitive bids?" Such a bid would lower the level of competition. This study reports the results of a statistical analysis to measure the impact of joint bidding on the level of competition in sales of U.S. oil and gas leases. The study first presumed that the level of competition increases as the number of competing bids increases. This presumption while not unassailable, also was not unreasonable. Three previous studies of solo and joint bidding were reviewed first, revealing that conclusions drawn by two of the studies are statistically unsupported. Our study of the pragmatic question found no consistent correlation supporting a positive answer to the question. The U.S. policy regulation proscribing joint bids involving two or more majors tended to broaden the proportion and number of bids involving majors. REVIEW OF PREVIOUS STUDIES OF FEDERAL OFFSHORE SOLO AND JOINT BIDS Joint bidding for U.S. offshore oil and gas leases has been seated in previous studies of which three will be reviewed in detail. GASKINS AND VANN Gaskins and Vann computed values of the ratio of the sum of the highest bids to the sum of the U.S. presale estimates, Fmax/est, for leases that presale estimates, Fmax/est, for leases that received the same number(s) of bids. Precise definition of Fmax/est is given in the Nomenclature. Gaskins and Vann observed that values of F increased with n, from which they concluded the "government gets a larger percentage of its estimated value when there are more bidders." For the March 28, 1974, sale, Gaskins and Vann calculated Fmax/est for four different categories of highest bids:all bids,bids in which only nonmajors were involved,bids in which one or more majors were involved, andbids in which Mobil Oil Corp. was a participant. (No list was given of which bidders are classed as major.) Values of Fmax/est when majors and/or Mobil were involved in the highest bid were more often lower than for the other categories of highest bids. From this, Gaskins and Vann concluded that the "data support the hypothesis that major oil companies, and Mobil in particular, were able to attain lower winning bids..." We recalculated values of F,../est for the March 28, 1974, sale. These are shown in Table 12 along with comparable values of Fm../mean and Fmean/est. The agreement between values of Fmax/est presented by Gaskins and Vann and in Table 1 is excellent in most cases. Some of the differences, however, may be explained by differing definitions of majors. We considered these eight companies as major: Amoco International Oil Co., British Petroleum Ltd., Chevron U.S.A. Inc., Exxon Corp., Gulf Oil Corp., Mobil Oil Corp., Shell Oil Co., Texaco Inc. Other differences may be caused by disagreements in source data and/or computations.


1996 ◽  
Vol 148 ◽  
pp. 1224-1259 ◽  
Author(s):  
Richard Louis Edmonds

The story of the post-1950 Taiwan economic miracle has been told many times. Quite a few authors have also dealt with aspects of the environmental degradation which has accompanied this growth. In general the literature places the blame on Taiwan society as a whole. It is critical of the government's slow evolution of regard for environmental protection, industry's lack of effort to assume its responsibilities and a lack of individual citizen concern prior to the 1980s. It is true that Taiwan's economy has grown rapidly since the 1960s. Unfortunately, this growth was linked to a low environmental consciousness and the lack of political will to regulate land use and pollution abatement. It was rooted in plastics, petrochemicals, leather goods, pesticides and other high polluting industries. These industries were attracted to Taiwan in part because of the environmental consciousness growing in the island's major markets, the United States and Japan. Sectors of the government favoured heavy industry as it would help with any efforts for a counter-attack against the Communists on the mainland. Social awareness of environmental issues and discontent with government and corporate management only began to grow in the 1980s and the government has yet to come to grips fully with the problem of environmental degradation. The purpose of this article is to describe the current state of Taiwan's environment, to trace the development of environmental movements on the island and to assess government's capability to salvage the situation.


Author(s):  
Verdinand Robertua ◽  
Immanuel Josua H. Silitonga

The Deepwater Horizon Oil-Spill is the most disastrous environmental pollution event in America's history. The film Deepwater Horizon, which takes the title exactly matches the name of the incident, explains the backgrounds of the catastrophe. This film shows that the accident occurred due to the negligence of British Petroleum as a company that manages the Deepwater Horizon rig. To reveal the role of the film in United States environmental diplomacy, the researcher will use the Deepwater Horizon film as a case study and the concept of environmental diplomacy as a unit and research analysis tool. This study uses qualitative research methods with data collection techniques, such as literature surveys and observations. This research argues that media is an essential component that plays a role in environmental diplomacy.


Author(s):  
Brian Williams

South Africa is afflicted with the worst epidemic of HIV in the world a legacy of the system of oscillating migrant labour in the region and the consequent social disruption that was the legacy of Apartheid. The initial response from the national government was slow and ineffective but once the magnitude of the epidemic became apparent the government began to respond. The investment in HIV- and TB-related activities in 2013 was R22 Bn or (US$2.5; 2013 exchange rate) of which the South Africa government contributed 80% and the Presidents Emergency Plan for AIDS Relief (PEPFAR) 17%. South Africa now has the more people on anti-retroviral therapy than any other country and treatment is being started much sooner after infection. Much of the best biomedical, virological, immunological, mathematical and social science around the treatment and prevention of HIV and AIDS and the associated epidemic of TB has been done by South African’s and their international collaborators. If the efforts to control the epidemic are maintained South Africa is on track to meet the UNAIDS 90-90-90target by 2020 and to End AIDS by 2030 in spite of the magnitude of the problem. While individual, patient level data are increasingly available, especially in the Western Cape, much greater efforts need to be made to ensure that the information collected in this way is used to give feedback and support to clinic staff, to ensure that health clinics are providing the best possible service, and to individual patients and people living with HIV to ensure that they are receiving the best possible care and support. South Africa needs to make better use of the rich and detailed data that are being collected from individual clinics and their patients to identify problems or difficulties at the clinic level and to ensure that individual patients are retained on treatment, are virally suppressed and receive the best possible care and support.


2020 ◽  
Vol 4 (2) ◽  
pp. 95-108
Author(s):  
SRĐAN MLADENOV JOVANOVIĆ

Serbia’s government, led by Aleksandar Vučić, has in scholarship been classified as semi-authoritarian, using Marina Ottaway’s classification. Its media have also been described as being in heavy, biased support of the government. Scholarship has further revealed that the Vučić-led, post-2012 government, has thrown the country backwards in time, with corruption and affairs being the primary instance by which the regime can be described. Expectedly, the response of the government and the government-supporting media to the COVID-19 pandemic has been less than professional. The initial response included official government press conferences in which the novel coronavirus was deemed to be ’funny’ and that, in the middle of the pandemic explosion and increased deathrate in Italy, Serbia’s population was advised to go to Italy for ’shopping’. The media furthermore tried to pin the pandemic to Serbia’s opposition alleged attempts to topple the government via ’coronavirus propaganda’. This article proposes to tackle the government’s and their supporting media’s responses to COVID-19 in February/March 2019 from a Discourse Analytical perspective.


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