USGS ScienceSearch

SEARCH · USGS Science

Results for “Energy Sources”

Search indexed USGS publications on groundwater, aquifers, geologic maps, mineral resources and earthquakes. Explore source records by subject and place.

Quote a phrase for an exact phrase match. Source license links do not imply unrestricted reuse.

At least 361 records · Page 20Linked to original sources

Geological exploration from orbital altitudes

The National Aeronautics & Space Administration is planning geologic exploration from orbiting spacecraft. For that purpose it is evaluating new and refined exploration tools, often called remote sensors, including devices that are sensitive to force fields, such as gravity gradient systems, and devices that record the reflection or emission of electromagnetic energy. Both passive electromagnetic sensors (those that rely on natural sources of illumination, such as the Sun) and active electromagnetic sensors (which use an artificial source of illumination) are being considered.

Geotimes

Byproduct mineral commodities used for the production of photovoltaic cells

Rising fossil fuel costs, environmental concerns relating to global climate change, and Government policy to signifcantly increase our Nation's energy independence have placed greater emphasis on the generation of electricity from renewable sources, such as the Sun (light and heat), water, and wind, which for all intents and purposes are inexhaustible resources. Although the total amount of electricity generated from the direct conversion of sunlight through photovoltaic cells is relatively small compared with that from other forms of renewable energy, the rate of growth in the sector is signifcant. The total value of energy of photovoltaic cells produced worldwide increased to nearly 7 gigawatts (GW) in 2008 from 45 megawatts (MW) in 1990, a compound annual growth rate of about 30 percent. In the United States, manufacturing of photovoltaic cells has grown exponentially to about 480 MW in 2008, accounting for 6 percent of world production, from less than 10 MW of photovoltaic capacity in 1990 (Benner, 2007; U.S. Department of Energy, Energy Information Administration, 2010), a compound annual growth rate of approxi-mately 23 percent. A production capacity of 1 GW of electricity [or 8,760 gigawatthours1 (GWh)] is equivalent to the annual electricity requirements for roughly 800,000 average households in the United States (U.S. Department of Energy, Energy Information Administration, 2010). This estimate does not include losses of electricity, such as during transmission through power lines.

Circular

Pore-throat sizes in sandstones, siltstones, and shales: Reply

In his discussion of my article (Nelson, 2009), W. K. Camp takes issue with the concept that buoyancy is not the dominant force in forming and maintaining the distribution of gas in tight-gas accumulations (Camp, 2011). I will restrict my response to the issues he raised regarding buoyant versus nonbuoyant drive and to a few comments regarding water saturation and production. I claim that the pressure generated in petroleum source rocks (P g ), instead of the buoyancy pressure (P b ), provides the energy to charge most tight sandstones with gas. The arguments are fourfold: (1) buoyant columns of sufficient height seldom exist in low-permeability sand-shale sequences, (2) tight-gas systems display a pressure profile that declines instead of increases upward, (3) gas is pervasive in overpressured systems, and (4) source rocks can generate pore pressures sufficiently high to charge tight sandstones.

American Association of Petroleum Geologists Bulle

Borehole-explosion and air-gun data acquired in the 2011 Salton Seismic Imaging Project (SSIP), southern California: description of the survey

The Imperial and Coachella Valleys are being formed by active plate-tectonic processes. From the Imperial Valley southward into the Gulf of California, plate motions are rifting the continent apart. In the Coachella Valley, the plates are sliding past one another along the San Andreas and related faults (fig. 1). These processes build the stunning landscapes of the region, but also produce damaging earthquakes. Rupture of the southern section of the San Andreas Fault (SAF), from the Coachella Valley to the Mojave Desert, is believed to be the greatest natural hazard that California will face in the near future. With an estimated magnitude between 7.2 and 8.1, such an event would result in violent shaking, loss of life, and disruption of infrastructure (freeways, aqueducts, power, petroleum, and communication lines) that might bring much of southern California to a standstill. As part of the nation’s efforts to avert a catastrophe of this magnitude, a number of projects have been undertaken to more fully understand and mitigate the effects of such an event. The Salton Seismic Imaging Project (SSIP), funded jointly by the National Science Foundation (NSF) and the U.S. Geological Survey (USGS), seeks to understand, through seismic imaging, the structure of the Earth surrounding the SAF, including the sedimentary basins on which cities are built. The principal investigators (PIs) of this collaborative project represent the USGS, Virginia Polytechnic Institute and State University (Virginia Tech), California Institute of Technology (Caltech), Scripps Institution of Oceanography (Scripps), University of Nevada, Reno (UNR), and Stanford University. SSIP will create images of underground structure and sediments in the Imperial and Coachella Valleys and adjacent mountain ranges to investigate the earthquake hazards posed to cities in this area. Importantly, the images will help determine the underground geometry of the SAF, how deep the sediments are, and how fast earthquake energy can travel through the sediments. All of these factors determine how hard the earth will shake during a major earthquake. If we can improve on our understanding of how and where earthquakes will occur, and how strong their resultant shaking will be, then buildings can be designed or retrofitted accordingly in order to resist damage and collapse, and emergency plans can be adequately prepared. In addition, SSIP will investigate the processes of rifting and magmatism in the Salton Trough in order to better understand this important plate-boundary region. The Salton Trough is a unique rift in that subsidence is accompanied by huge influxes of infilling sediment from the Colorado River. Volcanism that accompanies the subsidence here is muted by these influxes of sediment. The Salton Trough, in the central part of the Imperial Valley, is apparently made up of entirely new crust: young sediment in the upper crust and basaltic intrusive rocks in the mid-to-lower crust (Fuis and others, 1984). Similar to the ultrasound and computed tomography (CT) scans performed by the medical industry, seismic imaging is a collection of techniques that enable scientists to obtain a picture of what is underground. The petroleum industry routinely uses these techniques to search for oil and gas at relatively shallow depths; however, the scope of this project demanded that we image as much as 30 km into the Earth’s crust. This project generated and recorded seismic waves, similar to sound waves, which move downward into the Earth and are bent (refracted) or echoed (reflected) back to the surface. SSIP acquired data in a series of intersecting lines that cover key areas of the Salton Trough. The sources of sound waves were detonations (shots) in deep boreholes, designed to create energy equivalent to magnitude 1–2 earthquakes. The study region routinely experiences earthquakes of these magnitudes, but earthquakes are not located in such a way as to permit us to create the detailed images we need for earthquake hazard assessment. Air gun bursts, generated in the Salton Sea along extensions of our onshore seismic lines, also were utilized as sound-wave sources. Temporary deployments of portable land seismometers, as well as ocean-bottom seismometers (OBSs) on the floor of the Salton Sea, recorded the energy from the land shots and air gun bursts. SSIP is similar to the Los Angeles Regional Seismic Experiments of 1994 and 1999 (LARSE I and II, respectively; Murphy and others, 1996; Fuis and others, 2001). The LARSE surveys demonstrated that the USGS and collaborators can safely and effectively conduct seismic imaging surveys in urban and nonurban areas, on lands owned and/or managed by many different types of agencies and entities. Information was produced that could not have been obtained any other way, and this information was key to changing the leading ideas about earthquake hazards at that time in the Los Angeles region. These surveys produced no significant environmental impact or damage to structures, and they did not trigger earthquakes.

California

Toward a mechanistic understanding of human-induced rapid environmental change: A case study linking energy development, avian nest predation, and predators

Demographic consequences of human-induced rapid environmental change (HIREC) have been widely documented for many populations. The mechanisms underlying such patterns, however, are rarely investigated and yet are critical to understand for effective conservation and management. We investigated the mechanisms underlying reduced avian nest survival with intensification of natural gas development, an increasing source of human-induced rapid environmental change globally. We tested the hypothesis that energy development increased the local activity of important nest predator species, thereby elevating nest predation rates. During 2011–2012, we surveyed predators and monitored 668 nests of Brewer's sparrows Spizella breweri (BRSP), sagebrush sparrows Artemisiospiza nevadensis (SASPs) and sage thrashers Oreoscoptes montanus (SATHs) breeding at twelve sites spanning a gradient of habitat loss from energy development in western Wyoming, USA. Nine species, representing four mammalian and three avian families, were video-recorded depredating eggs and nestlings. Important nest predator species differed across songbird species, despite similar nesting habitats. Approximately 75% of depredation events were by rodents. Consistent with our predictions, detections of most rodent nest predators increased with surrounding habitat loss due to natural gas development, which was associated with increased probability of nest predation for our three focal bird species. An altered nest predator assemblage was therefore at least partly responsible for elevated avian nest predation risk in areas with more surrounding energy development. Synthesis and applications . We demonstrate one mechanism, that is the local augmentation of predators, by which human-induced rapid environmental change can influence the demography of local populations. Given the accelerating trajectory of global energy demands, an important next step will be to understand why the activity and/or abundance of rodent predators increased with surrounding habitat loss from energy development activities.

Journal of Applied Ecology

Methods for evaluating potential sources of chloride in surface waters and groundwaters of the conterminous United States

Chloride exists as a major ion in most natural waters, but many anthropogenic sources are increasing concentrations of chloride in many receiving waters. Although natural concentrations in continental waters can be as high as 200,000 milligrams per liter, chloride concentrations that are suitable for freshwater ecology, human consumption, and agricultural and industrial water uses commonly are on the order of 10 to 1,000 milligrams per liter. “Road salt” frequently is identified as the sole source of anthropogenic chloride, but only about 30 percent of the salt consumed and released to the environment is used for deicing. Furthermore, several studies in Southern States where the use of deicing salt is minimal also show anthropogenic chloride in rising concentrations and in strong correlation to imperviousness and road density. This is because imperviousness and road density also are strongly correlated to population density. The term “road salt” is a misnomer because deicers applied to parking lots, sidewalks, and driveways can be a substantial source of chloride in some catchments because these land covers are comparable to roadways as a percentage of the total impervious area and commonly receive higher salt application rates than some roadways. Other sources of anthropogenic chloride include wastewater, dust control on unpaved roads, fertilizer, animal waste, irrigation, aquaculture, energy production wastes, and landfill leachates. The assumption that rising chloride concentrations in surface water or groundwater is indicative of contamination by deicing chemicals rather than one or more other potential sources may preclude the identification of toxic, carcinogenic, mutagenic, or endocrine-disrupting contaminants that are associated with many sources of elevated chloride concentrations. Once the sources of anthropogenic chloride in an area of interest have been identified and measured, water and solute budgets can be estimated to guide decisionmakers to identify and apply potential mitigation measures that can reduce the problem. Scientists, engineers, regulators, and decisionmakers need information about potential sources of chloride, water and solute budgets, and methods for collecting water-quality data to help identify potential sources. This information is needed to evaluate potential sources of chloride in areas where chloride may have adverse ecological effects or may degrade water supplies used for drinking water, agriculture, or industry. Knowledge of potential sources will help decisionmakers identify the best mitigation measures to reduce the total background chloride load, thereby reducing the potential for water-quality exceedances that occur because of superposition on rising background concentrations. Also, knowledge of potential sources may help decisionmakers identify the potential for the presence of contaminants that have toxic, carcinogenic, mutagenic, or endocrine-disrupting effects at concentrations that are lower by orders of magnitude than the chloride concentrations in the source water. This report is a comprehensive synthesis of relevant information, but it is not the result of an exhaustive search for literature on each topic. The potential adverse effects of chloride on infrastructure and the environment are not discussed in this report because these issues have been extensively documented elsewhere.

Open-File Report

Quantifying aspect-dependent snowpack response to high-elevation wildfire in the southern Rocky Mountains

Increasing wildfire frequency and severity in high-elevation seasonal snow zones presents a considerable water resource management challenge across the western United States (U.S.). Wildfires can affect snowpack accumulation and melt patterns, altering the quantity and timing of runoff. While prior research has shown that wildfire generally increases snow melt rates and advances snow disappearance dates, uncertainties remain regarding variations across complex terrain and the energy balance between burned and unburned areas. Utilizing paired in situ data sources within the 2020 Cameron Peak burn area on the Front Range of Colorado, U.S., during the 2021–2022 winter, we found no significant difference in peak snow water equivalent (SWE) magnitude between burned and unburned areas. However, the burned south aspect reached peak SWE 22 days earlier than burned north. During the ablation period, burned south melt rates were 71% faster than unburned south melt rates, whereas burned north melt rates were 94% faster than unburned north aspects. Snow disappeared 7–11 days earlier in burned areas than unburned areas. Net energy differences at the burned and unburned weather station sites were seasonally variable, the burned area snowpack lost more net energy during the winter, but gained more net energy during the spring. Increased incoming shortwave radiation at the burned site was 6 x more impactful in altering the net shortwave radiation balance than the decline in surface albedo. These findings emphasize the need for post-wildfire water resource planning that accounts for aspect-dependent differences in energy and mass balance to accurately predict snowpack storage and runoff timing.

Colorado

Predicting the effects of solar energy development on plants and wildlife in the Desert Southwest, United States

Utility-scale solar energy (USSE) is rapidly expanding and expected to compose the largest source of renewable-generated electricity in the United States and globally over the coming decades. Lands in the hot Desert Southwest (Chihuahuan, Mojave, Sonoran, and San Joaquin Deserts) are increasingly selected for USSE development because of their high solar irradiance. The Desert Southwest supports high biodiversity and provides many ecosystem services but is vulnerable to USSE disturbance and simultaneous stress from aridification and other growing land-use pressures. In this review, a framework is presented for predicting the effects of USSE development on plants and wildlife by linking disturbance types associated with USSE construction and operation to the traits and response strategies of species and guilds. Case studies from representative Desert Southwest species and guilds of conservation concern are used to: review known effects of USSE, predict unknown effects with the trait-based framework, and discuss mitigation strategies. This framework predicts that species with trait plasticity and broad ecological niches will be capable of exploiting USSE development, while species with specific habitat requirements and narrow niches will be more vulnerable. Opportunities for mitigation during development and operation that may lessen these effects are identified. This work is intended to inform USSE management decision-making and long-term planning, as well as encourage new research to test predicted effects and responses.

Renewable & Sustainable Energy Reviews (RSER)

Efforts to monitor and characterize the recent increasing seismicity in central Oklahoma

The sharp increase in seismicity over a broad region of central Oklahoma has raised concerns regarding the source of the activity and its potential hazard to local communities and energy-industry infrastructure. Efforts to monitor and characterize the earthquake sequences in central Oklahoma are reviewed. Since early 2010, numerous organizations have deployed temporary portable seismic stations in central Oklahoma to record the evolving seismicity. A multiple-event relocation method is applied to produce a catalog of central Oklahoma earthquakes from late 2009 into early 2015. Regional moment tensor (RMT) source parameters were determined for the largest and best-recorded earthquakes. Combining RMT results with relocated seismicity enabled determination of the length, depth, and style of faulting occurring on reactivated subsurface fault systems. It was found that the majority of earthquakes occur on near-vertical, optimally oriented (northeast-southwest and northwest-southeast) strike-slip faults in the shallow crystalline basement. In 2014, 17 earthquakes occurred with magnitudes of 4 or larger. It is suggested that these recently reactivated fault systems pose the greatest potential hazard to the region.

Oklahoma

Groundwater chemistry and water-level elevations in bedrock aquifers of the Piceance and Yellow Creek watersheds, Rio Blanco County, Colorado, 2013–16

The Piceance and Yellow Creek watersheds in Rio Blanco County, Colorado, are known to contain important energy resources (oil shale and natural gas) and mineral resources (nahcolite). The primary sources of fresh groundwater in the Piceance and Yellow Creek watersheds are bedrock aquifers in the Uinta and Green River Formations. The aquifers are divided into an upper and lower aquifer separated by a regionally extensive semiconfining layer. These aquifers provide water to streams and springs in the watersheds and are an important resource to people living and working in the area. Development of energy and mineral resources has the potential to affect the quality of groundwater in several ways. The Bureau of Land Management and the U.S. Geological Survey began groundwater monitoring in 2010 to characterize the groundwater quality and water-level elevations of shallow bedrock aquifers in the Piceance and Yellow Creek watersheds. The purpose of this report is to present ground-water chemistry and water-level elevations collected during 2013–16. Comparisons are made to data that were collected from the bedrock aquifers from 2010 to 2012 to identify the potential for changes in water quality and water-level elevations. Appreciable changes in water-level elevations and hydraulic gradient were observed in early April 2015 in two wells completed in the upper and lower aquifers. The hydraulic gradient between the two wells was consistently downward from the upper aquifer to the lower aquifer during 2010–15; however, in early April 2015, the gradient changed from downward to upward between the two aquifers. Overall, water-level elevations declined by about 14 and 11 feet in the upper and lower aquifers, respectively, from 2013 to 2016. Previously published data estimated groundwater ages at 1,200 years old in the upper aquifer and 9,600 years old in the lower aquifer. These groundwater ages indicate that ground-water was recharged over thousands of years. With such long periods of time for aquifer recharge, declines in water-level elevation over short time steps (a few months) have important implications for sustainable management of this resource. Solution mining activities or drilling for oil and natural gas in the area could be related to the changes observed in water-level elevations in these wells; however, further investigation would be needed to evaluate causation. Changes in major-ion chemistry were evaluated in the bedrock aquifer using time series plots of select major-ion data from 2010 to 2016. Major-ion chemistry was variable for a single well from 2010 to 2016 where alkalinity and sulfate were the most variable constituents. One possible explanation for the observed changes in major-ion chemistry may be that the sample depth for that well no longer represents the most appreciable flow in the borehole. On a larger scale, potential changes in flow within the borehole may indicate changes in the regional flow system. Methane and volatile organic compound concentrations were evaluated using a similar approach to that of major ions and had similar findings. Methane concentrations in wells sampled from 2010 to 2016 were generally constant. The only exception was observed at a single well where the range of methane concentrations was from 57.4 (2010) to 4.02 milligrams per liter (2013). This is the same well where changes in water-level elevation, hydraulic gradient, and major-ion chemistry were observed, providing multiple lines of evidence to indicate change in the bedrock aquifers. Sampling of a well located in an area with little energy development but where faults or fractures could provide a path for the migration of fluids indicate mixing of groundwater between the upper and lower aquifers.

Colorado

Determination and prediction of micro scale rare earth element geochemical associations in mine drainage treatment wastes

Acid mine drainage (AMD) has been proposed as a novel source of rare earth elements (REE), a group of elements that includes critical metals for clean energy and modern technologies. REE are sequestered in the Fe–Al–Mn-rich precipitates produced during the treatment of AMD. These AMD solids are typically managed as waste but could be a REE source. Here, results from AMD solids characterization and geochemical modeling are presented to determine the minerals/solid phases that are enriched in REE and identify the mechanism(s) of REE attenuation. AMD solids collected from limestone-based AMD treatment systems were subjected to sequential extraction and synchrotron microprobe analyses to characterize the binding nature of the REE. The results of these analyses indicated REEs were mainly associated with Al or Mn phases. Only selected REE (Gd, Dy) were associated with Fe phases, which were less abundant than Al and Mn phases in analyzed samples. The sequential extractions demonstrated that acidic and/or reducing extractions effectively mobilize REE from the AMD solids evaluated. The observed element associations in solids are consistent with geochemical model results that indicate dissolved REE can be effectively attenuated by adsorption on freshly precipitated Fe, Al, and Mn oxides/hydroxides. The model, which simulates dissolution of CaCO 3 and the precipitation of Fe, Al, and Mn oxides with increased pH, accurately predicts the pH dependent accumulation of dissolved REE with Al, Mn, and Fe oxides/hydroxides in the studied AMD treatment systems. The methods and results presented here can be used to identify conditions favorable for accumulation of REE-enriched AMD solids and possible passive or active treatment(s) to extract REE from AMD. This information can be used to design AMD treatment systems for the recovery of REE and is an opportunity to transform the challenges of addressing polluted mine drainage into an environmental and economic asset.

Pennsylvania

Hydrogeochemistry and coal-associated bacterial populations from a methanogenic coal bed

Biogenic coalbed methane (CBM), a microbially-generated source of natural gas trapped within coal beds, is an important energy resource in many countries. Specific bacterial populations and enzymes involved in coal degradation, the potential rate-limiting step of CBM formation, are relatively unknown. The U.S. Geological Survey (USGS) has established a field site, (Birney test site), in an undeveloped area of the Powder River Basin (PRB), with four wells completed in the Flowers-Goodale coal bed, one in the overlying sandstone formation, and four in overlying and underlying coal beds (Knoblach, Nance, and Terret). The nine wells were positioned to characterize the hydraulic conductivity of the Flowers-Goodale coal bed and were selectively cored to investigate the hydrogeochemistry and microbiology associated with CBM production at the Birney test site. Aquifer-test results indicated the Flowers-Goodale coal bed, in a zone from about 112 to 120 m below land surface at the test site, had very low hydraulic conductivity (0.005 m/d) compared to other PRB coal beds examined. Consistent with microbial methanogenesis, groundwater in the coal bed and overlying sandstone contain dissolved methane (46 mg/L average) with low δ 13 C values (−67‰ average), high alkalinity values (22 meq/kg average), relatively positive δ 13 C-DIC values (4‰ average), and no detectable higher chain hydrocarbons, NO 3 − , or SO 4 2− . Bioassay methane production was greatest at the upper interface of the Flowers-Goodale coal bed near the overlying sandstone. Pyrotag analysis identified Aeribacillus as a dominant in situ bacterial community member in the coal near the sandstone and statistical analysis indicated Actinobacteria predominated coal core samples compared to claystone or sandstone cores. These bacteria, which previously have been correlated with hydrocarbon-containing environments such as oil reservoirs, have demonstrated the ability to produce biosurfactants to break down hydrocarbons. Identifying microorganisms involved in coal degradation and the hydrogeochemical conditions that promote their activity is crucial to understanding and improving in situ CBM production.

Montana, Wyoming

Acid neutralization within limestone sand reactors receiving coal mine drainage

Pulsed bed treatment of acid mine drainage (AMD) uses CO2 to accelerate limestone dissolution and intermittent fluidization to abrade and carry away metal hydrolysis products. Tests conducted with a prototype of 60 L/min capacity showed effective removal of H+ acidity over the range 196-584 mg/L (CaCO3) while concurrently generating surplus acid neutralization capacity. Effluent alkalinity (mg/L CaCO3) rose with increases in CO2 (DC, mg/L) according to the model Alkalinity = 31.22 + 2.97(DC)0.5, where DC was varied from 11-726 mg/L. Altering fluidization and contraction periods from 30 s/30 s to 10 s/50 s did not influence alkalinity but did increase energy dissipation and bed expansion ratios. Field trials with three AMD sources demonstrated the process is capable of raising AMD pH above that required for hydrolysis and precipitation of Fe3+ and Al3+ but not Fe2+ and Mn2+. Numerical modeling showed CO2 requirements are reduced as AMD acidity increases and when DC is recycled from system effluent. ?? 2005 Elsevier Ltd. All rights reserved.

Environmental Pollution

Tennessee and Landsat

From the flat, rich soil of western Tennessee to the Appalachian Mountains in the east, and rolling hills in between, “the Volunteer State” enjoys a wealth of natural resources. The Tennessee, Cumberland, and Mississippi Rivers supply economically crucial navigation routes, along with recreation for residents and visitors. Additionally, 14 million acres of hardwood and softwood forests cover roughly one-half of the State, contributing an estimated $24 billion and nearly 100,000 jobs to Tennessee’s economy. Within a span of more than 400 miles, the State’s diverse agricultural products include cotton, corn, soybeans, poultry, horses, cattle, goats, hay, vegetables, nursery crops, and tobacco. Energy production is important to Tennessee and the region, and power sources range from coal and nuclear to hydroelectric sources. Tourism also is a key industry, and music attractions and historical sites are balanced by natural features such as the Great Smoky Mountains National Park, which recorded 14.1 million visits and ranked second for most visited National Park Service site in the United States in 2021. Landsat imagery’s broad geographic scale and rich historical archive have proven useful to land managers and State agencies for monitoring natural resources. Here are several ways Landsat has benefited Tennessee.

Tennessee

U.S. Geological Survey Science for the Wyoming Landscape Conservation Initiative-2010 Annual Report

This is the third report produced by the U.S. Geological Survey (USGS) for the Wyoming Landscape Conservation Initiative (WLCI) to detail annual work activities. The first report described activities for 2007 and 2008, and the second report covered work activities for FY09. This third report covers work activities conducted in FY2010, and it continues the 2009 approach of reporting on all the individual activities to help give WLCI partners and other readers the full scope of what has been accomplished. New in this year's report is an additional section for each work activity that outlines the work planned for the following fiscal year. In FY2010, there were 35 ongoing/expanded, completed, or new projects conducted under the five major multi-disciplinary science and technical-assistance activities: (1) Baseline Synthesis; (2) Targeted Monitoring and Research; (3) Data and Information Management; (4) Integration and Coordination; and (5) Decisionmaking and Evaluation. The three new work activities were to (1) compile existing water data for the entire WLCI region and (2) develop regional curves (statistical models) for relating bankfull-channel geometry and discharge to drainages in the WLCI region, both of which will help guide long-term monitoring of water resources; and (3) initiate a groundwater-monitoring network to evaluate potential effects of energy-development activities on groundwater quality where groundwater is an important source of public/private water supplies. Results of the FY2009 work to develop methods for assessing soil organic matter and mercury indicated that selenium and arsenic levels may be elevated in the Muddy Creek Basin; thus, the focus of that activity was shifted in FY2010 to evaluate biogeochemical cycling of elements in the basin. In FY2010, two ongoing activities were expanded with the addition of more sampling plots: (a) the study of how greater sage-grouse (Centrocercus urophasianus) use vegetation-treatment areas (sites added to the Moxa Arch Natural Gas Development area) and (2) the study of cheatgrass (Bromus tectorum) occurrence in burn treatments of the Little Mountain Ecosystem. The activity that entails evaluating relationships between ungulate herbivory and fire on aspen (Populus tremuloides) recruitment also was expanded to include relationships between stand characteristics of and herbivory on aspen in various ecohydrological settings. The USGS continued compiling data and developing geospatial products from all of its WLCI activities to support (1) ranking and prioritizing of proposed conservation projects, (2) developing the WLCI Integrated Assessment, and (3) developing the WLCI 5-year Conservation Action Plan. Two activities were completed in FY2010: (1) the conceptual modeling and indicator selection for monitoring resource conditions across the WLCI region, and (2) the literature review on effects of oil and gas development in western regions of the United States, both of which are in the last stages of publication.

Open-File Report

Lithium brine potential of North Dakota: Results from the 2025 sampling program

Lithium (Li), classified as a critical mineral and key in energy storage applications because of its high energy density, faces unprecedented demand. This has driven interest in unconventional sources of Li, especially brines from sedimentary basins. Accordingly, the spatial distribution of basinal brinehosted Li resources across North America is becoming better defined, including the Williston Basin underlying Saskatchewan, Canada. This has led to growing investment and exploration by industry throughout the 2020s; however, despite this interest, the Li potential of basinal brines of the Williston Basin in North Dakota remain underexplored. This work presents the results from the 2025 joint brine sampling campaign between the North Dakota Geological Survey, the United States Geological Survey (USGS), and The University of Texas at Austin. Twenty-seven fluid samples were collected from producing oil and water source wells from eight stratigraphic intervals across western North Dakota and analyzed for major cation and anion concentrations. Similar to southeastern Saskatchewan, the highest Li concentrations were identified in the Devonian Duperow Formation, with concentrations up to 179 mg/L being observed in a well commingled between the Duperow and Red River Formations. Some samples from the overlying Birdbear Formation exceeded 75 mg/L, whereas Li concentrations were lower in the Madison Group (33-44 mg/L) and the Three Forks (50 mg/L), Dawson Bay (43 mg/L), Winnipegosis (23 mg/L), and Red River (40.0 mg/L) Formations. This work indicates Li resource potential exists across the Williston Basin and advances our understanding of the Li distribution in basinal brines which could provide a new domestic source of this critical mineral.

North Dakota

Liquefaction timing and post-triggering seismic energy: A comparison of crustal and subduction zone earthquakes

The objective of the study is to assess when liquefaction is triggered in a suite of ground motions following simplified approaches and measure the remaining post-triggering energy content of those ground motions. For liquefaction-induced deformations, current simplified analysis procedures do not directly incorporate temporal effects and rely on peak transient intensity measurements. Liquefaction hazard from short-duration, small to moderate-magnitude (M) earthquakes (M4.5–7.5) is adequately expressed using transient intensity measurements. However, subduction-zone interface earthquakes can have magnitudes greater than 9.0, with ground-motion durations exceeding 300 s. Using 525 ground motions from the NGA-Subduction (NGA-Sub) database for subduction-zone earthquakes with M8.25–9.25, the timing of liquefaction was calculated using cyclic counting procedures by assuming a reference stress condition and incorporating cyclic strengths from laboratory element testing. A complementary analysis was completed using 514 crustal ground motion records from the NGA-West2 database for M6.75–7.75. Several trends were identified during this study. First, liquefaction will likely trigger during the first half of the ground motion duration, independent of the earthquake source type. However, subduction-zone motions have larger post-triggering energy content compared to crustal earthquakes. The findings from this work indicate that accurately predicting liquefaction-induced deformations from subduction-zone earthquakes may be substantially improved by using robust time-based liquefaction analysis procedures.

Conference Paper

Teleseismic and near-field analysis of the Nahanni earthquakes in the Northwest Territories, Canada

The analysis of the Nahanni earthquakes of October 5, 1985 (MS 6.6), and December 23, 1985 (MS 6.9), will have important implications for the assessment of seismic hazards in intraplate environments. To maximize the information available to seismic engineers, broadband data recorded teleseismically are analyzed jointly with strong-motion data recorded in the near field. The time-domain analysis of teleseismic data yields the source mechanisms, depths, and complexities of rupture of each earthquake. Both earthquakes occurred as shallow thrusts with centroid depths (6 to 7 km) and shallowly dipping fault planes that correspond well with the aftershock distributions obtained from a local survey run by the Canadian Geological Survey. The shallow nodal plane for the October 5 earthquake dips 30° to the WSW, while the shallow nodal planes of the subevents for the December 23 earthquake dip an average of 23° to the WSW. The October 5 earthquake has an impulsive initial rupture, followed by a weak subevent of longer duration but smaller moment release. The December 23 earthquake exhibits more complexity, being comprised of three subevents of similar size. The subevent delays derived from the teleseismic analysis are used to help interpret arrivals in records of ground velocity recorded in the near field of the December 23 earthquake. The rupture geometries inferred from the joint near- and far-field analysis suggest that the rupture processes were unusually complicated and that the 2g peak that occurs late in one of the near-field records could be a localized phenomenon. Spectral analyses of the teleseismic P waves yield the following source parameters for the October 5 and December 23 earthquakes, respectively: the seismic moments are 1.2 and 1.8 × 1026 dyne-cm, the radiated energies are 1.8 and 2.8 × 1021 dyne-cm, and the dynamic stress drops are 65 and 50 bar. The acceleration source spectra of both earthquakes exhibit an intermediate slope (| üα(ω) | ∝ω) from 0.03 to 0.3 Hz, suggesting that the earthquakes represent the failure of asperities. Extrapolating the teleseismic P-wave spectra to estimate the near-field S-wave spectra yields good fits to the acceleration spectra from two strong motion records, but underestimates the spectra from a third strong motion record with the strongest, but possibly localized, accelerations.

Bulletin of the Seismological Society of America