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At least 469 records · Page 26Linked to original sources

Multidecadal climate-induced variability in microseisms

Microseisms are the most ubiquitous continuous seismic signals on Earth at periods between approximately 5 and 25 s (Peterson 1993; Kedar and Webb 2005). They arise from atmospheric energy converted to (primarily) Rayleigh waves via the intermediary of wind-driven oceanic swell and occupy a period band that is uninfluenced by common anthropogenic and wind-coupled noise processes on land (Wilson et al. 2002; de la Torre et al. 2005). "Primary" microseisms (near 8-s period) are generated in shallow water by breaking waves near the shore and/or the nonlinear interaction of the ocean wave pressure signal with the sloping sea floor (Hasselmann 1963). Secondary microseisms occur at half of the primary period and are especially strongly radiated in source regions where opposing wave components interfere (Longuett-Higgins 1950; Tanimoto 2007), which principally occurs due to the interaction of incident swell and reflected/scattered wave energy from coasts (Bromirski and Duennebier 2002; Bromirski, Duennebier, and Stephen 2005). Coastal regions having a narrow shelf with irregular and rocky coastlines are known to be especially efficient at radiating secondary microseisms (Bromirski, Duennebier, and Stephen 2005; Shulte-Pelkum et al. 2004). The secondary microseism is globally dominant, and its amplitudes proportional to the square of the standing wave height (Longuett-Higgins 1950), which amplifies its sensitivity to large swell events (Astiz and Creager 1994; Webb 2006).

Seismological Research Letters↗

Determining the source and genetic fingerprint of natural gases using noble gas geochemistry: a northern Appalachian Basin case study

Silurian and Devonian natural gas reservoirs present within New York state represent an example of unconventional gas accumulations within the northern Appalachian Basin. These unconventional energy resources, previously thought to be noneconomically viable, have come into play following advances in drilling (i.e., horizontal drilling) and extraction (i.e., hydraulic fracturing) capabilities. Therefore, efforts to understand these and other domestic and global natural gas reserves have recently increased. The suspicion of fugitive mass migration issues within current Appalachian production fields has catalyzed the need to develop a greater understanding of the genetic grouping (source) and migrational history of natural gases in this area. We introduce new noble gas data in the context of published hydrocarbon carbon (C 1 ,C 2+ ) ( 13 C) data to explore the genesis of thermogenic gases in the Appalachian Basin. This study includes natural gases from two distinct genetic groups: group 1, Upper Devonian (Marcellus shale and Canadaway Group) gases generated in situ, characterized by early mature ( 13 C[ C1 C2 ][ 13 C 1 13 C 2 ]: –9 ), isotopically light methane, with low ( 4 He) (average, 1 10 3 cc/cc) elevated 4 He/ 40 Ar and 21 Ne / 40 Ar (where the asterisk denotes excess radiogenic or nucleogenic production beyond the atmospheric ratio), and a variable, atmospherically (air-saturated–water) derived noble gas component; and group 2, a migratory natural gas that emanated from Lower Ordovician source rocks (i.e., most likely, Middle Ordovician Trenton or Black River group) that is currently hosted primarily in Lower Silurian sands (i.e., Medina or Clinton group) characterized by isotopically heavy, mature methane ( 13 C [C1 – C2] [ 13 C 1 13 C 2 ]: 3 ), with high ( 4 He) (average, 1.85 10 3 cc/cc) 4 He/ 40 Ar and 21 Ne / 40 Ar near crustal production levels and elevated crustal noble gas content (enriched 4 He, 21 Ne , 40 Ar ). Because the release of each crustal noble gas (i.e., He, Ne, Ar) from mineral grains in the shale matrix is regulated by temperature, natural gases obtain and retain a record of the thermal conditions of the source rock. Therefore, noble gases constitute a valuable technique for distinguishing the genetic source and post-genetic processes of natural gases.

New York↗

U.S. Geological Survey Studies of Energy Resources in Sub-Saharan Africa

The U.S. Government and the American public need access to information on energy resources in sub-Saharan Africa. Sub-Saharan Africa (mostly Nigeria) produces 5 percent of the world's oil, while supplying the United States with 15 percent of our imports (Energy Information Administration). In the next 10 years, sub-Saharan oil and gas will become increasingly more important to the export market. New discoveries in offshore provinces of West Africa ensure a bright future for the region. Projections indicate that increased oil production in sub-Saharan Africa will far outpace the growth of intraregional consumption, providing greater quantities of oil for export (Forman, 1996). Also, West Africa, although a marginal supplier of liquefied natural gas (LNG) today, will become an important LNG source to the international market by the year 2000 (Oil & Gas Journal, 1996). The United States needs up-to-date information about petroleum resources and the energy balance within the region to predict the future role of sub-Saharan Africa as a major oil and gas exporter. The data required to generate the needed information are often disseminated in archives of oil companies and African geologic surveys, or in obscure publications. For these reasons, the U.S. Geological Survey is collecting data on sub-Saharan energy and constructing a regional energy bibliography. The team of geoscientists will assure that this information is available quickly and from a scientifically based, objective view point.

Fact Sheet↗

Groundwater contaminant plume maps and volumes, 100-K and 100-N Areas, Hanford Site, Washington

This study provides an independent estimate of the areal and volumetric extent of groundwater contaminant plumes which are affected by waste disposal in the 100-K and 100-N Areas (study area) along the Columbia River Corridor of the Hanford Site. The Hanford Natural Resource Trustee Council requested that the U.S. Geological Survey perform this interpolation to assess the accuracy of delineations previously conducted by the U.S. Department of Energy and its contractors, in order to assure that the Natural Resource Damage Assessment could rely on these analyses. This study is based on previously existing chemical (or radionuclide) sampling and analysis data downloaded from publicly available Hanford Site Internet sources, geostatistically selected and interpreted as representative of current (from 2009 through part of 2012) but average conditions for groundwater contamination in the study area. The study is limited in scope to five contaminants—hexavalent chromium, tritium, nitrate, strontium-90, and carbon-14, all detected at concentrations greater than regulatory limits in the past. All recent analytical concentrations (or activities) for each contaminant, adjusted for radioactive decay, non-detections, and co-located wells, were converted to log-normal distributions and these transformed values were averaged for each well location. The log-normally linearized well averages were spatially interpolated on a 50 × 50-meter (m) grid extending across the combined 100-N and 100-K Areas study area but limited to avoid unrepresentative extrapolation, using the minimum curvature geostatistical interpolation method provided by SURFER ® data analysis software. Plume extents were interpreted by interpolating the log-normally transformed data, again using SURFER ® , along lines of equal contaminant concentration at an appropriate established regulatory concentration . Total areas for each plume were calculated as an indicator of relative environmental damage. These plume extents are shown graphically and in tabular form for comparison to previous estimates. Plume data also were interpolated to a finer grid (10 × 10 m) for some processing, particularly to estimate volumes of contaminated groundwater. However, hydrogeologic transport modeling was not considered for the interpolation. The compilation of plume extents for each contaminant also allowed estimates of overlap of the plumes or areas with more than one contaminant above regulatory standards. A mapping of saturated aquifer thickness also was derived across the 100-K and 100–N study area, based on the vertical difference between the groundwater level (water table) at the top and the altitude of the top of the Ringold Upper Mud geologic unit, considered the bottom of the uppermost unconfined aquifer. Saturated thickness was calculated for each cell in the finer (10 × 10 m) grid. The summation of the cells’ saturated thickness values within each polygon of plume regulatory exceedance provided an estimate of the total volume of contaminated aquifer, and the results also were checked using a SURFER ® volumetric integration procedure. The total volume of contaminated groundwater in each plume was derived by multiplying the aquifer saturated thickness volume by a locally representative value of porosity (0.3). Estimates of the uncertainty of the plume delineation also are presented. “Upper limit” plume delineations were calculated for each contaminant using the same procedure as the “average” plume extent except with values at each well that are set at a 95-percent upper confidence limit around the log-normally transformed mean concentrations, based on the standard error for the distribution of the mean value in that well; “lower limit” plumes are calculated at a 5-percent confidence limit around the geometric mean. These upper- and lower-limit estimates are considered unrealistic because the statistics were increased or decreased at each well simultaneously and were not adjusted for correlation among the well distributions (i.e., it is not realistic that all wells would be high simultaneously). Sources of the variability in the distributions used in the upper- and lower-extent maps include time varying concentrations and analytical errors. The plume delineations developed in this study are similar to the previous plume descriptions developed by U.S. Department of Energy and its contractors. The differences are primarily due to data selection and interpolation methodology. The differences in delineated plumes are not sufficient to result in the Hanford Natural Resource Trustee Council adjusting its understandings of contaminant impact or remediation.

Washington↗

Subduction zone and crustal dynamics of western Washington; a tectonic model for earthquake hazards evaluation

The Cascadia subduction zone is extremely complex in the western Washington region, involving local deformation of the subducting Juan de Fuca plate and complicated block structures in the crust. It has been postulated that the Cascadia subduction zone could be the source for a large thrust earthquake, possibly as large as M9.0. Large intraplate earthquakes from within the subducting Juan de Fuca plate beneath the Puget Sound region have accounted for most of the energy release in this century and future such large earthquakes are expected. Added to these possible hazards is clear evidence for strong crustal deformation events in the Puget Sound region near faults such as the Seattle fault, which passes through the southern Seattle metropolitan area. In order to understand the nature of these individual earthquake sources and their possible interrelationship, we have conducted an extensive seismotectonic study of the region. We have employed P-wave velocity models developed using local earthquake tomography as a key tool in this research. Other information utilized includes geological, paleoseismic, gravity, magnetic, magnetotelluric, deformation, seismicity, focal mechanism and geodetic data. Neotectonic concepts were tested and augmented through use of anelastic (creep) deformation models based on thin-plate, finite-element techniques developed by Peter Bird, UCLA. These programs model anelastic strain rate, stress, and velocity fields for given rheological parameters, variable crust and lithosphere thicknesses, heat flow, and elevation. Known faults in western Washington and the main Cascadia subduction thrust were incorporated in the modeling process. Significant results from the velocity models include delineation of a previously studied arch in the subducting Juan de Fuca plate. The axis of the arch is oriented in the direction of current subduction and asymmetrically deformed due to the effects of a northern buttress mapped in the velocity models. This buttress occurs under the North Cascades region of Washington and under southern Vancouver Island. We find that regional faults zones such as the Devils Mt. and Darrington zones follow the margin of this buttress and the Olympic-Wallowa lineament forms its southern boundary east of the Puget Lowland. Thick, high-velocity, lower-crustal rocks are interpreted to be a mafic/ultramafic wedge occuring just above the subduction thrust. This mafic wedge appears to be jointly deformed with the arch, suggesting strong coupling between the subducting plate and upper plate crust in the Puget Sound region at depths >30 km. Such tectonic coupling is possible if brittle-ductile transition temperatures for mafic/ultramafic rocks on both sides of the thrust are assumed. The deformation models show that dominant north-south compression in the coast ranges of Washington and Oregon is controlled by a highly mafic crust and low heat flow, allowing efficient transmission of margin-parallel shear from Pacific plate interaction with North America. Complex stress patterns which curve around the Puget Sound region require a concentration of northwest-directed shear in the North Cascades of Washington. The preferred model shows that greatest horizontal shortening occurs across the Devils Mt. fault zone and the east end of the Seattle fault.

Open-File Report↗

Evidence for near-source nonlinear propagation of volcano infrasound from Strombolian explosions at Yasur Volcano, Vanuatu

Volcanic eruption source parameters may be estimated from acoustic pressure recordings dominant at infrasonic frequencies (< 20 Hz), yet uncertainties may be high due in part to poorly understood propagation dynamics. Linear acoustic propagation of volcano infrasound is commonly assumed, but nonlinear processes such as wave steepening may distort waveforms and obscure the sourcing process in recorded waveforms. Here we use a previously developed frequency-domain nonlinearity indicator to quantify spectral changes due to nonlinear propagation primarily in 80 signals from explosions at Yasur Volcano, Vanuatu. We find evidence for &#x2264; "> ≤ ≤ 10 −3 dB/m spectral energy transfer in the band 3–9 Hz for signals with amplitude on the order of several hundred Pa at 200–400 m range. The clarity of the nonlinear spectral signature increases with waveform amplitude, suggesting stronger nonlinear changes for greater source pressures. We observe similar results in application to synthetics generated through finite-difference wavefield simulations of nonlinear propagation, although limitations of the model complicate direct comparison to the observations. Our results provide quantitative evidence for nonlinear propagation that confirms previous interpretations made on the basis of qualitative observations of asymmetric waveforms.

Bulletin of Volcanology↗

Brine contamination to aquatic resources from oil and gas development in the Williston Basin, United States

The Williston Basin, which includes parts of Montana, North Dakota, and South Dakota in the United States and the provinces of Manitoba and Saskatchewan in Canada, has been a leading domestic oil and gas producing region for more than one-half a century. Currently, there are renewed efforts to develop oil and gas resources from deep geologic formations, spurred by advances in recovery technologies and economic incentives associated with the price of oil. Domestic oil and gas production has many economic benefits and provides a means for the United States to fulfill a part of domestic energy demands; however, environmental hazards can be associated with this type of energy production in the Williston Basin, particularly to aquatic resources (surface water and shallow groundwater) by extremely saline water, or brine, which is produced with oil and gas. The primary source of concern is the migration of brine from buried reserve pits that were used to store produced water during recovery operations; however, there also are considerable risks of brine release from pipeline failures, poor infrastructure construction, and flow-back water from hydraulic fracturing associated with modern oilfield operations. During 2008, a multidisciplinary (biology, geology, water) team of U.S. Geological Survey researchers was assembled to investigate potential energy production effects in the Williston Basin. Researchers from the U.S. Geological Survey participated in field tours and met with representatives from county, State, tribal, and Federal agencies to identify information needs and focus research objectives. Common questions from agency personnel, especially those from the U.S. Fish and Wildlife Service, were “are the brine plumes (plumes of brine-contaminated groundwater) from abandoned oil wells affecting wetlands on Waterfowl Production Areas and National Wildlife Refuges?” and “are newer wells related to Bakken and Three Forks development different than the older, abandoned wells (in terms of potential for affecting aquatic resources)?” Of special concern were the wetland habitats of the ecologically important Prairie Pothole Region, which overlays a part of the Williston Basin and is recognized for the production of a majority of North America’s migratory waterfowl. On the basis of the concerns raised by on-the-ground land managers, as well as findings from previous research, a comprehensive study was developed with the following goals: summarize existing information pertaining to oil and gas production and aquatic resources in the Williston Basin; assess brine plume migration from new and previously studied sites in the Prairie Pothole Region; perform a regional, spatial evaluation of oil and gas production activities and aquatic resources; assess the potential for brine contamination to wetlands and streams; and hold a decision analysis workshop with key stakeholders to discuss issues pertaining to oil and gas production and environmental effects and to identify information gaps and research needs. This report represents an initial, multidisciplinary evaluation of measured and potential environmental effects associated with oil and gas production in the Williston Basin and Prairie Pothole Region. Throughout this report there are reviews of current knowledge, and discussions relating to data gaps and research needs. On the basis of the information presented, future research needs include: regional geophysical and water-quality assessments to establish baselines for current conditions and estimate the extent of previous brine contamination, investigations into the direct effects of brine to biotic communities, and evaluations to identify the most effective techniques to mitigate brine contamination.

Montana, North Dakota↗

Seismological aspects of the 1989-1990 eruptions at redoubt volcano, Alaska: the SSAM perspective

SSAM is a simple and inexpensive tool for continuous monitoring of average seismic amplitudes within selected frequency bands in near real-time on a PC-based data acquisition system. During the 1989-1990 eruption sequence at Redoubt Volcano, the potential of SSAM to aid in rapid identification of precursory Long-Period (LP) event swarms was realized, and since this time SSAM has been incorporated in routine monitoring efforts of the Alaska Volcano Observatory. In particular, an eruption that occurred on April 6 was successfully forecast primarily on the basis of recognizing the precursory LP activity on SSAM. Of twenty-two significant eruptions that occurred between December 14 and April 21, eleven had precursory swarms longer than one hour in duration that could be detected on SSAM. For individual swarms, the patterns of relative spectral amplitudes are distinct at each station and remain largely stationary through time, thus indicating that one source may have been preferentially and repeatedly activated throughout the swarm. Typically, a single spectral band dominates the signal at each seismic station: for the vigorous one-day swarm that preceded the first eruption on December 14, signals were sharply peaked in the 1.9-2.7 Hz band at the closest station, located 4 km from the vent, but were dominated by 1.3-1.9 Hz energy at three more distant stations located 7.5-22 km from the vent. The tendency for the signals from different swarms recorded at the same station to be peaked in the same frequency band suggests that all of the sources are characterized by a predominant length scale. Signals from the precursory LP swarms became weaker as the eruption sequence progressed, and swarms that occurred in March and April could only be detected at seismographs on the volcanic edifice. Onset times of precursory LP swarms prior to eruptions ranged from a few hours to about one week, but after the initial vent-clearing phase that ended December 19 these intervals tended to become progressively shorter for successive swarms. These trends in the relative onset times and intensities of successive precursory LP swarms are consistent with an overall depressurization of the magmatic system through time. In general, each of the swarms had an emergent onset, but the intensities did not always increase steadily until the eruptions. Instead, as the time of an eruption approached the intensity usually increased more rapidly before peaking and then declining prior to the eruption; for three of the swarms, two distinct peaks in intensity were apparent. The time intervals between final peaks in swarm intensity and ensuing eruptions ranged from about 2 hours to almost 2 days, but the peaks always occurred closer to the eruptions than to the swarm onsets. Both the onset of LP swarm activity and a decline in intensity prior to an eruption may represent critical points in the process of pressurization that drives the flow of fluids and gas in a sealed magmatic system. A notable exception to this pattern is the eruption of March 9 which lacked a detectable precursory LP swarm, but was followed by an unusually long period of strong LP seismicity that may have been stimulated by a depressurization of the magmatic system resulting from dome failure. On both December 14 and January 2, the spectra of early syn-eruptive signals have peaked signatures much like those of the spectra of precursory LP activity from shortly before the eruptions; these similarities may indicate that the source of precursory seismicity continued to be active during at least the early part of each eruption. In syn-eruptive signals from March and April recorded at stations on the volcanic edifice, the dominant spectral energy progressively shifts with time during the eruption to lower frequencies; at least part of the energy in these signals may have been generated by the debris flows associated with dome failures. ?? 1994.

Journal of Volcanology and Geothermal Research↗

The 25 October 2010 Mentawai tsunami earthquake, from real-time discriminants, finite-fault rupture, and tsunami excitation

The moment magnitude 7.8 earthquake that struck offshore the Mentawai islands in western Indonesia on 25 October 2010 created a locally large tsunami that caused more than 400 human causalities. We identify this earthquake as a rare slow‐source tsunami earthquake based on: 1) disproportionately large tsunami waves; 2) excessive rupture duration near 125 s; 3) predominantly shallow, near‐trench slip determined through finite‐fault modeling; and 4) deficiencies in energy‐to‐moment and energy‐to‐duration‐cubed ratios, the latter in near‐real time. We detail the real‐time solutions that identified the slow‐nature of this event, and evaluate how regional reductions in crustal rigidity along the shallow trench as determined by reduced rupture velocity contributed to increased slip, causing the 5–9 m local tsunami runup and observed transoceanic wave heights observed 1600 km to the southeast.

Mentawai Islands↗

An association between a cusk eel (Bassozetus sp.) and a black coral (Schizopathes sp.) in the deep western Indian Ocean

Detailed observations in the deep sea can reveal previously unknown behaviour, species interactions and fine-scale habitat heterogeneity. Here, the first in situ images of the black coral Schizopathes sp. (Anthozoa: Antipatharia) in the deep western Indian Ocean have been obtained from remotely operated vehicle video footage and time-lapse photography. In these images, there appears to be an association with the cusk eel Bassozetus (Family: Ophidiidae). In the primary observation, chance encounters revealed the fish interacted with the anitpatharian on multiple occasions over several days. Subsequent time-lapse camera footage showed the fish remained almost exclusively underneath the antipatharian for the duration of a 30-h deployment. Excursions from the cover of the antipatharian were for less than 2 min. The primary observation is supported by two similar encounters in the same region. Observed reduction in the tail-beat frequency of the fish under the antipatharian suggests reduced energy requirements for the ophidiid in this position. The observations demonstrate the role that even individual coral colonies play as a source of three-dimensional structure, providing habitat heterogeneity in the deep sea.

Marine Biodiversity Records↗

Table-top earthquakes; a demonstration of seismology for teachers and students that can be used to augment lessons in earth science, physics, math, social studies, geography

The apparatus consists of a heavy object that is dragged steadily with an elastic cord. Although pulled with a constant velocity, the heavy object repeatedly slides and then stops. A small vibration sensor, attached to a computer display, graphically monitors this intermittent motion. 2 This intermittent sliding motion mimics the intermittent fault slippage that characterizes the earthquake fault zones. In tectonically active regions, the Earth's outer brittle shell, which is about 50 km thick, is slowly deformed elastically along active faults. As the deformation increases, stress also increases, until fault slippage releases the stored elastic energy. This process is called elastic rebound. Detailed instructions are given for assembly and construction of this demonstration. Included are suggested sources for the vibration sensor (geophone) and the computer interface. Exclusive of the personal computer, the total cost is between $125 and $150. I gave a talk at the Geological Society of America's Cordilleran Section Centennial meeting on June 2, 1999. The slides show how this table-top demonstration can be used to help meet many of the K-12 teaching goals described in Benchmarks for Science Literacy (American Association for the Advancement of Science, 1993).

Open-File Report↗

Appalachian basin oil and natural gas: stratigraphic framework, total petroleum systems, and estimated ultimate recovery

The most recent U.S. Geological Survey (USGS) assessment of undiscovered oil and gas resources of the Appalachian basin was completed in 2002 (Milici and others, 2003). This assessment was based on the total petroleum system (TPS), a concept introduced by Magoon and Dow (1994) and developed during subsequent studies such as those by the U.S. Geological Survey World Energy Assessment Team (2000) and by Biteau and others (2003a,b). Each TPS is based on specific geologic elements that include source rocks, traps and seals, reservoir rocks, and the generation and migration of hydrocarbons. This chapter identifies the TPSs defined in the 2002 Appalachian basin oil and gas assessment and places them in the context of the stratigraphic framework associated with regional geologic cross sections D&ndash;D &prime; (Ryder and others, 2009, which was re-released in this volume, chap. E.4.1) and E&ndash;E &prime; (Ryder and others, 2008, which was re-released in this volume, chap. E.4.2). Furthermore, the chapter presents a recent estimate of the ultimate recoverable oil and natural gas in the basin.

Appalachian basin↗

What is causing the phytoplankton increase in San Francisco Bay?

The largest living component of San Francisco Bay is the phytoplankton, a suspension of microscopic cells that convert sunlight energy into new living biomass through the same process of photosynthesis used by land plants. This primary production is the ultimate source of food for clams, zooplankton, crabs, sardines, halibut, sturgeon, diving ducks, pelicans, and harbor seals. From measurements made in 1980, we estimated that phytoplankton primary production in San Francisco Bay was about 200,000 tons of organic carbon per year (Jassby et al. 1993). This is equivalent to producing the biomass of 5500 adult humpback whales, or the calories to feed 1.8 million people. These numbers may seem large, but primary production in San Francisco Bay is low compared to many other nutrient-enriched estuaries.

California↗

A Bayesian multi-stage modelling framework to evaluate impacts of energy development on wildlife populations: An application to Greater Sage-Grouse (Centrocercus urophasianus)

Increased demand for domestic production of renewable energy has led to expansion of energy infrastructure across western North America. Much of the western U.S. comprises remote landscapes that are home to a variety of vegetation communities and wildlife species, including the imperiled sagebrush ecosystem and indicator species such as greater sage-grouse ( Centrocercus urophasianus ). Geothermal sources in particular have potential for continued development across the western U.S. but impacts to greater sage-grouse and other species are unknown. To address this information gap, we describe a novel two-pronged methodology that analyzes impacts of geothermal energy production on pattern and process of greater sage-grouse populations using (a) before-after control-impact (BACI) measures of population growth and lek absence rates and (b) concurrent-to-operation evaluations of demographic rates. Growth and absence rate analyses utilized 14 years of lek survey data collected prior (2005–2011) and concurrent (2012–2018) to geothermal operations at two sites in Nevada, USA. Demographic analyses utilized relocation data, restricted inference to concurrent years, and incorporated 17 additional control sites. Demographic results were applied to >100 potential geothermal sites distributed across the study region to generate spatially explicit predictions of unrealized population-level impacts.

MethodsX↗

Multi-channel analysis of surface waves MASW of models with high shear-wave velocity contrast

We use the multi-channel analysis of surface waves MASW method to analyze synthetic seismic data calculated using models with high shear-wave velocity Vs contrast. The MASW dispersion-curve images of the Rayleigh wave are obtained using various sets of source-offset and spread-size configurations from the synthetic seismic data and compared with the theoretically calculated fundamental- and higher-mode dispersion-curves. Such tests showed that most of the dispersion-curve images are dominated by higher-mode energy at the low frequencies, especially when analyzing data from long receiver offsets and thus significantly divert from numerically expected dispersion-curve trends, which can lead to significant Vs overestimation. Further analysis showed that using data with relatively short spread lengths and source offsets can image the desired fundamental-mode of the Rayleigh wave that matches the numerically expected dispersion-curve pattern. As a result, it was concluded that it might be possible to avoid higher-mode contamination at low frequencies at sites with high Vs contrast by appropriate selection of spread size and seismic source offset. ?? 2011 Society of Exploration Geophysicists.

SEG Technical Program Expanded Abstracts↗

Ammonia and aquatic ecosystems – A review of global sources, biogeochemical cycling, and effects on fish

The purpose of this review is to better understand the full life cycle and influence of ammonia from an aquatic biology perspective. While ammonia has toxic properties in water and air, it also plays a central role in the biogeochemical nitrogen (N) cycle and regulates mechanisms of normal and abnormal fish physiology. Additionally, as the second most synthesized chemical on Earth, ammonia contributes economic value to many sectors, particularly fertilizers, energy storage, explosives, refrigerants, and plastics. But, with so many uses, industrial N 2 -fixation effectively doubles natural reactive N concentrations in the environment. The consequence is global, with excess fixed nitrogen driving degradation of soils, water, and air; intensifying eutrophication, biodiversity loss, and climate change; and creating health risks for humans, wildlife, and fisheries. Thus, the need for ammonia research in aquatic systems is growing. In response, we prepared this review to better understand the complexities and connectedness of environmental ammonia. Even the term “ammonia” has multiple meanings. So, we have clarified the nomenclature, identified units of measurement, and summarized methods to measure ammonia in water. We then discuss ammonia in the context of the N-cycle, review its role in fish physiology and mechanisms of toxicity, and integrate the effects of human N-fixation, which continuously expands ammonia's sources and uses. Ammonia is being developed as a carbon-free energy carrier with potential to increase reactive nitrogen in the environment. With this in mind, we review the global impacts of excess reactive nitrogen and consider the current monitoring and regulatory frameworks for ammonia. The presented synthesis illustrates the complex and interactive dynamics of ammonia as a plant nutrient, energy molecule, feedstock, waste product, contaminant, N-cycle participant, regulator of animal physiology, toxicant, and agent of environmental change. Few molecules are as influential as ammonia in the management and resilience of Earth's resources.

Science of the Total Environment↗

1995 annual report on Alaska's mineral resources

Section 1011 of the Alaska National Interest Lands Conservation Act (ANILCA) of 1980, as amended, requires that "On or before October 1, 1982, and annually thereafter, the President shall transmit to the Congress all pertinent public information relating to minerals in Alaska gathered by the United States Geological Surveys, United States Bureau of Mines, and any other Federal agency." This report has been prepared in response to that requirement. This circular is the fourteenth in the series of annual mineral reports mandated by the ANILCA. The report provides information about current Alaskan mineral projects and events during 1994; the emphasis is on Federal activity. The report addresses both onshore and offshore areas of Alaska. The U.S. Geological Survey (USGS), U.S. Bureau of Mines (USBM), and Minerals Management Service (MMS) are the principal Federal agencies that publish information about energy and mineral resources in Alaska. Their reports and data form the basis for decisions by other Federal agencies regarding land use, access, environmental impacts, and mining claim evaluation. The time required for sample analysis, data synthesis, and publication is lengthy; as a result, scientific reports are generally issued a year or more after initial sample and data collection. Other sources of information for this report include additional Federal and State publications, trade and professional journals, presentations at public meetings and hearings, and press releases. Information is provided for two broad categories of minerals: energy resources and nonfuel-mineral resources.

Circular↗

Physical properties of sediments from Keathley Canyon and Atwater Valley, JIP Gulf of Mexico gas hydrate drilling program

Physical property measurements and consolidation behavior are different between sediments from Atwater Valley and Keathley Canyon in the northern Gulf of Mexico. Void ratio and bulk density of Atwater Valley sediment from a seafloor mound (holes ATM1 and ATM2) show little effective stress (or depth) dependence to 27 meters below seafloor (mbsf), perhaps owing to fluidized transport through the mound itself with subsequent settling onto the seafloor or mound flanks. Off-mound sediments (hole AT13-2) have bulk physical properties that are similar to mound sediments above 27 mbsf, but void ratio and porosity decrease below that depth. Properties of shallow (<50 mbsf) Keathley Canyon sediments (KC151-3) change with increasing effective stress (or depth) compared to Atwater Valley, but vary little below that depth. Organic carbon is present in concentrations between typical near-shore and deep-sea sediments. Organic carbon-to-nitrogen ratios suggest that the organic matter contained in Atwater Valley off-mound and mound sites came from somewhat different sources. The difference in organic carbon-to-nitrogen ratios between Atwater Valley and Keathley Canyon is more pronounced. At Keathley Canyon a more terrigenous source of the organic matter is indicated. Grain sizes are typically silty clay or clay within the two basins reflecting similar transport energy. However, the range in most shallow sediment properties is significantly different between the two basins. Bulk density profiles agree with logging results in Atwater Valley and Keathley Canyon. Agreement between lab-derived and logging-derived properties supports using logging data to constrain bulk physical properties where cores were not collected.

Marine and Petroleum Geology↗