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At least 1,027 records · Page 57Linked to original sources

Egg retention of high-latitude sockeye salmon (Oncorhynchus nerka) in the Pilgrim River, Alaska, during the Pacific marine heatwave of 2014–2016

Ocean and freshwater conditions can influence spawning success of Pacific salmon ( Oncorhynchus spp.) by governing the energy content of fish at the start of and during the spawning migration. Ocean conditions determine the energy stores of fish at the freshwater entry, while freshwater conditions determine how quickly stored energy is depleted as individuals migrate to spawning grounds in natal rivers and lakes. We assessed the occurrence of sockeye salmon ( Oncorhynchus nerka ) egg retention (failure to deposit eggs) in a high-latitude (~ 65°N) watershed that has a large, inter-annual variation in the number of returning adults. We also explored relationships between ocean and freshwater conditions with egg retention of female sockeye salmon. The proportion of females with egg retention (> 50 eggs) varied by threefold (12 to 36%) across years (2013 to 2020) and was related to ocean conditions represented by the North Pacific Index (NPI). Egg retention was more common in years with low NPI values (a stronger Aleutian Low) in association with the Pacific marine heatwave of 2014–2016 that disrupted food webs. This initial study contains the first empirical data observing the influence of ocean conditions on egg retention for any Pacific salmon population. The lack of any relationship between egg retention and freshwater temperatures was consistent with water temperatures primarily occurring below thresholds associated with heat stress related mortality (< 18 °C). Understanding the amount of egg retention and how environmental drivers influence egg retention within Pacific salmon populations provides insights for managers assessing the number of successful spawners and helps refine escapement-based management efforts.

Alaska↗

Terrestrial and semi-aquatic scavengers on invasive Pacific pink salmon (Oncorhynchus gorbuscha) carcasses in a riparian ecosystem in northern Norway.

Pacific pink salmon ( Oncorhynchus gorbuscha ) invasions, thought to originate from populations introduced and established in Russia, occurred along the Norwegian coast in 2017 and 2019. Despite several thousand pink salmon entering and establishing in northern Norwegian rivers, current understanding of the ecological effect of the species in northern Europe is limited. Scavengers feeding on pacific salmon carcasses are important vectors for the transport of marine derived energy and nutrients to terrestrial ecosystems in the Pacific Northwest, North America, where the salmon naturally occur. However the role of terrestrial and aquatic scavengers in the consumption and removal of pink salmon beyond the salmon’s native range is unknown. This study has identified terrestrial and sub-aquatic vertebrate scavengers on pink salmon carcasses in a sub-arctic river in northern Norway. Avian scavengers filmed by a camera placed near sites baited with pink salmon carcasses included the Eurasian magpie ( Pica pica ), hooded crow ( Corvus cornix ), common raven ( Corvus corax ), the European herring gull ( Larus argentatus ), redwing ( Turdus iliacus ) and goosander ( Mergus merganser ). However, the largest carcass weight was removed by red foxes ( Vulpes vulpes ). Carcasses entering Vesterelv River in 2019 were estimated to provide energy and nutrients to the river ecosystem an order of magnitude lower than in the Pacific Northwest. This study provides some of the first information in northern Europe on the mechanisms and quantification of energy and nutrient transfer from the ocean to riparian environments via introduced Pacific pink salmon. Results help to begin to determine the ecological effect of pink salmon and the development of appropriate management strategies.

Finnmark, Vesterelv↗

Physiological comparisons of plasma and tissue metrics of selected inland and coastal steelhead kelts.

The physiological status of migrating steelhead kelts ( Oncorhynchus mykiss ) from the Situk River, Alaska, and two tributaries of the Clearwater River, Idaho, was evaluated to explore potential differences in post-spawning survival related to energy reserves. Blood plasma samples were analyzed for metrics related to nutritional and osmotic status, and samples of white muscle tissue collected from recent mortalities at weirs were analyzed for proximate constituents. Female kelts from the Situk River had significantly higher plasma cholesterol, triglycerides, glucose and calcium concentrations, all of which suggested higher lipid and energy stores. Additional support for energy limitation in kelts was provided by evaluating the presence of detectable proteins in the plasma. Most all kelts sampled from the Situk River populations had detectable plasma proteins, in contrast to kelts sampled from the Clearwater River tributary populations where 27 % of kelts from one tributary, and 68 % of the second tributary were below the limits of detection. We found proximate constituents of kelt mortalities were similar between the Situk and Clearwater River populations, and the lipid fraction of white muscle averaged 0.1 and 0.2 %. Our findings lend support to the hypothesis that energetic limitations likely affect post-spawn survival in the Clearwater River kelts.

Alaska, Idaho↗

Life histories, salinity zones, and sublethal contributions of contaminants to pelagic fish declines illustrated with a case study of San Francisco Estuary, California, USA

Human effects on estuaries are often associated with major decreases in abundance of aquatic species. However, remediation priorities are difficult to identify when declines result from multiple stressors with interacting sublethal effects. The San Francisco Estuary offers a useful case study of the potential role of contaminants in declines of organisms because the waters of its delta chronically violate legal water quality standards; however, direct effects of contaminants on fish species are rarely observed. Lack of direct lethality in the field has prevented consensus that contaminants may be one of the major drivers of coincident but unexplained declines of fishes with differing life histories and habitats (anadromous, brackish, and freshwater). Our review of available evidence indicates that examining the effects of contaminants and other stressors on specific life stages in different seasons and salinity zones of the estuary is critical to identifying how several interacting stressors could contribute to a general syndrome of declines. Moreover, warming water temperatures of the magnitude projected by climate models increase metabolic rates of ectotherms, and can hasten elimination of some contaminants. However, for other pollutants, concurrent increases in respiratory rate or food intake result in higher doses per unit time without changes in the contaminant concentrations in the water. Food limitation and energetic costs of osmoregulating under altered salinities further limit the amount of energy available to fish; this energy must be redirected from growth and reproduction toward pollutant avoidance, enzymatic detoxification, or elimination. Because all of these processes require energy, bioenergetics methods are promising for evaluating effects of sublethal contaminants in the presence of other stressors, and for informing remediation. Predictive models that evaluate the direct and indirect effects of contaminants will be possible when data become available on energetic costs of exposure to contaminants given simultaneous exposure to non-contaminant stressors.

California↗

Experimental studies of alunite: II. Rates of alunite-water alkali and isotope exchange

Rates of alkali exchange between alunite and water have been measured in hydrothermal experiments of 1 hour to 259 days duration at 150 to 400°C. Examination of run products by scanning electron microscope indicates that the reaction takes place by dissolution-reprecipitation. This exchange is modeled with an empirical rate equation which assumes a linear decrease in mineral surface area with percent exchange (f) and a linear dependence of the rate on the square root of the affinity for the alkali exchange reaction. This equation provides a good fit of the experimental data for f = 17% to 90% and yields log rate constants which range from −6.25 moles alkali m −2 s −1 at 400°C to − 11.7 moles alkali m −2 s −1 at 200°C. The variation in these rates with temperature is given by the equation log k&#x2217; = &#x2212;8.17(1000/T(K)) + 5.54 (r 2 = 0.987) "> k∗ = −8.17(1000/T(K)) + 5.54 (r 2 = 0.987) which yields an activation energy of 37.4 ± 1.5 kcal/mol. For comparison, data from O'Neil and Taylor (1967) and Merigoux (1968) modeled with a pseudo-second-order rate expression give an activation energy of 36.1 ± 2.9 kcal/mol for alkali-feldspar water Na-K exchange. In the absence of coupled alkali exchange, oxygen isotope exchange between alunite and water also occurs by dissolution-reprecipitation but rates are one to three orders of magnitude lower than those for alkali exchange. In fine-grained alunites, significant D-H exchange occurs by hydrogen diffusion at temperatures as low as 100°C. Computed hydrogen diffusion coefficients range from −15.7 to −17.3 cm 2 s −1 and suggest that the activation energy for hydrogen diffusion may be as low as 6 kcal/mol. These experiments indicate that rates of alkali exchange in the relatively coarse-grained alunites typical of hydrothermal ore deposits are insignificant, and support the reliability of K-Ar age data from such samples. However, the fine-grained alunites typical of low temperature settings may be susceptible to limited alkali exchange at surficial conditions which could cause alteration of their radiometric ages. Furthermore, the rapid rate of hydrogen diffusion observed at 100–150°C suggests that fine-grained alunites are susceptible to rapid D-H re-equilibration even at surficial conditions.

Geochimica et Cosmochimica Acta↗

Spectral estimates of net radiation and soil heat flux

Conventional methods of measuring surface energy balance are point measurements and represent only a small area. Remote sensing offers a potential means of measuring outgoing fluxes over large areas at the spatial resolution of the sensor. The objective of this study was to estimate net radiation (R n ) and soil heat flux (G) using remotely sensed multispectral data acquired from an aircraft over large agricultural fields. Ground-based instruments measured R n and G at nine locations along the flight lines. Incoming fluxes were also measured by ground-based instruments. Outgoing fluxes were estimated using remotely sensed data. Remote R n , estimated as the algebraic sum of incoming and outgoing fluxes, slightly underestimated R n measured by the ground-based net radiometers. The mean absolute errors for remote R n minus measured R n were less than 7%. Remote G, estimated as a function of a spectral vegetation index and remote R n , slightly overestimated measured G; however, the mean absolute error for remote G was 13%. Some of the differences between measured and remote values of R n and G are associated with differences in instrument designs and measurement techniques. The root mean square error for available energy (R n - G) was 12%. Thus, methods using both ground-based and remotely sensed data can provide reliable estimates of the available energy which can be partitioned into sensible and latent heat under nonadvective conditions.

Remote Sensing of Environment↗

Fluvial sedimentation on a quivering craton: Influence of slight crustal movements on fluvial processes, upper Jurassic Morrison formation, western Colorado Plateau

One of the most important challenges facing the fluvial sedimentologist is identification of processes outside the stream channel that influence deposition of fluvial sediments. Detailed studies in the lower sequence of the Salt Wash Member (Morrison Formation, Upper Jurassic) demonstrate that crustal deformation at the site of deposition may considerably influence braided-stream processes. Late Jurassic crustal movements in the western part of the Colorado Plateau are interpreted largely from thickness variations and facies distribution, but other features such as vertical repetition of facies, coincidence with at least parts of present-day folds, and the geographic distribution of bedding parameters measured in the fluvial deposits, are also used as corroborating evidence of syndepositional tectonism. These features indicate that several of the large uplifts and basins in the region as well as some of the smaller folds within them were actively moving during deposition of the lower sequence. Tectonic activity altered the stream gradients, which in turn governed sinuosity, flow regime, energy levels, and sediment distribution. Cross-bedding studies indicate that reduced gradients within downwarped areas led to slight increases in sinuosity of the braided-stream channels and of the small sub-channels within them. The lowered gradients apparently resulted in a decrease in the depth of the channels and allowed the streams to flood more readily, producing abundant upper-flow regime horizontal laminations in the channel deposits. In addition, greater quantities of sediment containing higher proportions of sand were deposited in downwarped areas than in positive localities. The inability of the streams to transport bed load through downwarped areas indicates loss of stream energy. However, an increase in the quantity of upper-flow regime horizontal laminations in the same downwarped areas suggests that an increase in flow regime is not necessarily accompanied by an increase in energy levels, at least in regions of slight tectonic activity where the local configuration of the stream channels may change appreciably. Strata presently dip less than 2° throughout most of the region, and this relatively small amount of deformation reflects the combined effects of Late Jurassic, Cretaceous and Tertiary tectonism. This demonstrates that the amount of structural deformation at the site of deposition may appear to be insignificant, yet it can cause appreciable changes in the nature of braided-stream deposits.

Arizona, Utah↗

Further discussions on the relationship between cumulated intercepted solar radiation and crop growth

A strong correlation exists between intercepted solar radiation and crop growth. We cautioned that many derivations of the functional relationship between solar energy and biomass use cumulated data, and therefore have logical and arithmetic weaknesses. We examined the growth response of plants to solar energy by using rates of change, of both interception and growth. Our analysis revealed that measurements of light interception can only establish the relationship a posteriori. Replacing interception data with normalized random numbers did not change the quality of the relations. Several scientists have contested our views. This article reconfirms the general validity of our analysis and of our conclusions, that it is not possible to determine plant growth on the sole basis of intercepted solar energy.

Agricultural and Forest Meteorology↗

Control of invasive sea lampreys using the piscicides TFM and niclosamide: Toxicology, successes & future prospects

The invasion of the Laurentian Great Lakes of North America by sea lampreys ( Petromyzon marinus ) in the early 20th century contributed to the depletion of commercial, recreational and culturally important fish populations, devastating the economies of communities that relied on the fishery. Sea lamprey populations were subsequently controlled using an aggressive integrated pest-management program which employed barriers and traps to prevent sea lamprey from migrating to their spawning grounds and the use of the piscicides (lampricides) 3-trifluoromethyl-4-nitrophenol (TFM) and niclosamide to eliminate larval sea lampreys from their nursery streams. Although sea lampreys have not been eradicated from the Great Lakes, populations have been suppressed to less than 10% of their peak numbers in the mid-1900s. The ongoing use of lampricides provides the foundation for sea lamprey control in the Great Lakes, one of the most successful invasive species control programs in the world. Yet, significant gaps remain in our understanding of how lampricides are taken-up and handled by sea lampreys, how lampricides exert their toxic effects, and how they adversely affect non-target invertebrate and vertebrates species. In this review we examine what has been learned about the uptake, handling and elimination, and the mode of TFM and niclosamide toxicity in lampreys and in non-target animals, particularly in the last 10 years. It is now clear that the mode of TFM toxicity is the same in non-target fishes and lampreys, in which TFM interferes with oxidative phosphorylation by the mitochondria leading to decreased ATP production. Vulnerability to TFM is related to abiotic factors such as water pH and alkalinity, which we propose changes the relative amounts of the bioavailable un-ionized form of TFM in the gill microenvironment. Niclosamide, which is also a molluscicide used to control snails in areas prone to schistosomiasis infections of humans, also likely works by uncoupling oxidative phosphorylation, but less is known about other aspects of its toxicology. The effects of TFM include reductions in energy stores, particularly glycogen and high energy phosphagens. However, non-target fishes readily recover from sub-lethal TFM exposure as demonstrated by the rapid restoration of energy stores and clearance of TFM. Although both TFM and niclosamide are non-persistent in the environment and critical for sea lamprey control, increasing public and institutional concerns about pesticides in the environment makes it imperative to explore other means of sea lamprey control. Accordingly, we also address possible “next-generation” strategies of sea lamprey control including genetic tools such as RNA interference and CRISPR-Cas9 to impair critical physiological processes (e.g. reproduction, digestion, metamorphosis) in lamprey, and the use of green chemistry to develop more environmentally benign chemical methods of sea lamprey control.

Great Lakes↗

Evaluation of argon ages and integrity of fluid-inclusion compositions: Stepwise noble gas heating experiments on 1.87 Ga alunite from Tapajós Province, Brazil

Quantitative analyses are reported for active (N 2 , CH 4 , CO, CO 2 , H 2 , O 2 , HF, HCl, H 2 S, SO 2 ) and noble (He, Ar, Ne) gases released by crushing and step heating of magmatic-hydrothermal alunite from the Tapaj&oacute;s gold province in Brazil. This is the oldest known alunite ( 40 Ar/ 39 Ar age of 1.87 Ga), and because it has undergone minimal postdepositional thermal or tectonic strain, it is excellent material to test the retention of gas species in fluid inclusions and within the crystal structure over geological time. The gas compositions of a single sample, in combination with Ar age-spectrum data derived from stepwise heating of 10 related samples, have been used to constrain the limits of modification of primary gas compositions in fluid inclusions and the possible extent of the loss of radiogenic Ar. The observed variations in the isotopic compositions of He, Ne, and Ar released by stepwise heating have been used to identify the residence sites and determine the diffusion coefficients of the gases in the mineral. The data suggest that the only modification to primary gas compositions after entrapment in fluid inclusions and formation of the mineral is due to radiogenic and nucleogenic processes which affect the noble gas isotopic compositions. Three gas retention sites are recognized in alunite: (1) primary fluid inclusions, (2) crystal structure OH sites, and (3) crystal structure sulfate sites. Alunite undergoes OH loss at <500&deg;C, and K-SO 4 structural decomposition occurs at >600&deg;C. Fluid inclusions generally are &le;1 &mu;m in diameter and have variable but high vapor/liquid ratios. The gases in inclusion fluids are quantitatively released in vacuo by heating at 200&deg;C for &sim;1 h. In the inclusion fluids, H 2 O is 32 mol% of total gas, H 2 S/SO 2 ranges from approximately 4 to 2, and N 2 /Ar from 0.3 to 96.3. The presence of large amounts of H 2 and CO indicates disequilibrium among the gas species in the fluids. Helium abundance is 214 ppm. Helium from fluid inclusions ( R /Ra=19.5) makes up about 4% of the total helium, whereas He ( R /Ra=0.2&ndash;2.0) from the crystal structure makes up about 65% of the total. Argon from fluid inclusions has 40 Ar/ 36 Ar=584&ndash;629 and that from crystal structure sites is >9.6&times;10 4 . Most gases are released from fluid inclusions at 200 &deg;C, whereas most Ar (&ge;95%) is released between 525 and 725&deg;C. Argon released from fluid inclusions at 200&deg;C has 38 Ar/ 36 Ar=0.0&ndash;0.064. In contrast, Ar released from the matrix of the mineral at high temperature has 38 Ar/ 36 Ar=3.6&ndash;14.7. This difference suggests that, since the formation of the alunite at 1.87 Ga, traces of Cl in the mineral structure have undergone Cl ( n , &gamma; ) and 41 K ( n , &alpha; ) in situ reactions with neutrons derived from U&ndash;Th. The amount of 36 Ar production from Cl nucleogenic reactions used in correcting for atmospheric 40 Ar typically increases the calculated age by 1&ndash;5 m.y., which is generally an insignificant component of the determined Ar age. Decay of U&ndash;Th over this time contributes 4 He ( &alpha; ) buildup in the crystal structure K-SO 4 sites. Atmospheric corrected excess 21 Ne/ 22 Ne=0.028&ndash;0.409 indicates that nucleogenic Ne was also produced via ( &alpha; , n ) reactions in matrix sites. Diffusion coefficients and activation energies for the diffusion of Ar and He, as determined using Arrhenius plots, indicate two distinct groups definable by their differences in activation energies. Argon log D o =2.45 and 15.33, with activation energies of 225 and 465 kJ mol &minus;1 , respectively; the diffusion of He in alunite is quantified with log D o =&minus;4.33 and E =106.8 kJ mol &minus;1 . Model calculations of simplistic 1/ e -folding times and diffusion distance&ndash;time curves indicate that He should remain in alunite for millions of years at &le;100&deg;C, whereas at <200&ndash;220&deg;C, the alunite will retain Ar almost indefinitely. The data demonstrate why alunite is suitable for Ar geochronological applications and also show that, unless the alunite is subjected to metamorphic deformation, the inclusion fluids should retain their primary compositions.

Tapajós Province↗

Transport of horseshoe crab eggs by waves and swash on an estuarine beach: Implications for foraging shorebirds

The abundance of horseshoe crab eggs in the swash zone and remaining on the beach after tide levels fall was evaluated to identify how numbers of eggs available to shorebirds differ with fluctuations in spawning numbers of horseshoe crabs, wave energies and beach elevation changes. Field data were gathered 1-6 June 2004 at Slaughter Beach on the west side of Delaware Bay, USA. Counts of spawning crabs and process data from a pressure transducer and an anemometer and wind vane were related to number of eggs, embryos and larvae taken at depth and on the surface of the foreshore and in the active swash zone using a streamer trap. Beach elevation changes and depths of sediment activation were used to determine the potential for buried eggs to be exhumed by waves and swash. Mean significant wave heights during high water levels ranged from 0.08 to 0.40 m. Spawning counts were low (50-140 females km-1) when wave heights were low; no spawning occurred when wave heights were high. Vegetative litter (wrack) on the beach provides local traps for eggs, making more eggs available for shorebirds. Accumulation of litter on days when wave energy is low increases the probability that eggs will remain on the surface. High wave energies transport more eggs in the swash, but these eggs are dispersed or buried, and fewer eggs remain on the beach. Peaks in the number of eggs in the swash uprush occur during tidal rise and around time of high tide. The number of eggs in transport decreases during falling tide. Many more eggs move in the active swash zone than are found on the beach after water level falls, increasing the efficiency of bird foraging in the swash. Greater numbers of eggs in the swash during rising tide than falling tide and fewer eggs at lower elevations on the beach, imply that foraging becomes less productive as the tide falls and may help account for the tendency of shorebirds to feed on rising tides rather than on falling or low tides on days when no spawning occurs. ?? 2006 Elsevier Ltd. All rights reserved.

Estuarine, Coastal and Shelf Science↗

Dynamic interactions between coastal storms and salt marshes: A review

This manuscript reviews the progresses made in the understanding of the dynamic interactions between coastal storms and salt marshes, including the dissipation of extreme water levels and wind waves across marsh surfaces, the geomorphic impact of storms on salt marshes, the preservation of hurricanes signals and deposits into the sedimentary records, and the importance of storms for the long term survival of salt marshes to sea level rise. A review of weaknesses, and strengths of coastal defences incorporating the use of salt marshes including natural, and hybrid infrastructures in comparison to standard built solutions is then presented. Salt marshes are effective in dissipating wave energy, and storm surges, especially when the marsh is highly elevated, and continuous. This buffering action reduces for storms lasting more than one day. Storm surge attenuation rates range from 1.7 to 25 cm/km depending on marsh and storms characteristics. In terms of vegetation properties, the more flexible stems tend to flatten during powerful storms, and to dissipate less energy but they are also more resilient to structural damage, and their flattening helps to protect the marsh surface from erosion, while stiff plants tend to break, and could increase the turbulence level and the scour. From a morphological point of view, salt marshes are generally able to withstand violent storms without collapsing, and violent storms are responsible for only a small portion of the long term marsh erosion. Our considerations highlight the necessity to focus on the indirect long term impact that large storms exerts on the whole marsh complex rather than on sole after-storm periods. The morphological consequences of storms, even if not dramatic, might in fact influence the response of the system to normal weather conditions during following inter-storm periods. For instance, storms can cause tidal flats deepening which in turn promotes wave energy propagation, and exerts a long term detrimental effect for marsh boundaries even during calm weather. On the other hand, when a violent storm causes substantial erosion but sediments are redistributed across nearby areas, the long term impact might not be as severe as if sediments were permanently lost from the system, and the salt marsh could easily recover to the initial state.

Geomorphology↗

Dark halos produced by current impact cratering on Mars

Hundreds of new impact craters have been observed to form on Mars since spacecraft began imaging that planet. New impact craters produced visible ejecta deposits and many of them also have visible rays, similar to lunar and mercurian craters. However, some of the new martian impact craters have a circular feature of relatively low reflectance that we call a “halo.” This feature is distinct from the usual visible ejecta deposits or ray patterns. In this paper we present an observational study of this halo feature and we discuss the results of this study with respect to the nature of the halos: what they are and how they may have formed. To address these questions, we measured diameters of both halos and their central craters. We found a strong correlation between halo diameter and crater diameter, which indicates that the nature of the halos is fundamentally governed by the amount of impact energy available at their formation. Specifically, halo size is controlled by impact energy according to the non-linear relationship D H ∝ E 2/3 , where D H is the diameter of the halo and E is the impact energy. We also found that certain factors may influence the formation of the halos: a thicker dust layer and lower elevations are both correlated with larger halos. From these correlations we conclude that the local surface characteristics as well as local atmospheric pressure influence the formation of the halos. Our description and analysis of the martian halo features provide a framework upon which specific halo formation mechanisms can be developed and tested in the future.

Icarus↗

Analysis of group-velocity dispersion of high-frequency Rayleigh waves for near-surface applications

The Multichannel Analysis of Surface Waves (MASW) method is an efficient tool to obtain the vertical shear (S)-wave velocity profile using the dispersive characteristic of Rayleigh waves. Most MASW researchers mainly apply Rayleigh-wave phase-velocity dispersion for S-wave velocity estimation with a few exceptions applying Rayleigh-wave group-velocity dispersion. Herein, we first compare sensitivities of fundamental surface-wave phase velocities with group velocities with three four-layer models including a low-velocity layer or a high-velocity layer. Then synthetic data are simulated by a finite difference method. Images of group-velocity dispersive energy of the synthetic data are generated using the Multiple Filter Analysis (MFA) method. Finally we invert a high-frequency surface-wave group-velocity dispersion curve of a real-world example. Results demonstrate that (1) the sensitivities of group velocities are higher than those of phase velocities and usable frequency ranges are wider than that of phase velocities, which is very helpful in improving inversion stability because for a stable inversion system, small changes in phase velocities do not result in a large fluctuation in inverted S-wave velocities; (2) group-velocity dispersive energy can be measured using single-trace data if Rayleigh-wave fundamental-mode energy is dominant, which suggests that the number of shots required in data acquisition can be dramatically reduced and the horizontal resolution can be greatly improved using analysis of group-velocity dispersion; and (3) the suspension logging results of the real-world example demonstrate that inversion of group velocities generated by the MFA method can successfully estimate near-surface S-wave velocities.

Journal of Applied Geophysics↗

Seismic characteristics of the April 2024 eruption of Ruang Volcano, North Sulawesi, Indonesia

The two most recent eruptions of Ruang volcano, in 2002 and 2024, have been large (VEI 4) with very short precursory periods, 3 and 6 days, respectively. Background seismicity at Ruang volcano is generally low with 0–2 volcano-tectonic (VT) earthquakes per day. The 2024 eruptions were preceded by a notable increase in VT earthquakes from 11 to 15 April with a rapid escalation from 16 to 17 April in the form of increased VT swarms, and the appearance of low frequency earthquakes and short bursts of VT drumbeats shortly before the eruption. Similar VT seismic unrest was recorded in March 2015, May 2016, and April 2022, although none of these episodes culminated in an eruption. A comparison of seismic energy release between April 2022 and April 2024 shows distinct differences. In 2024, cumulative seismic energy reached its peak within 5 days, just before the onset of eruption on 17 April. In contrast, during the 2022-episode, energy release followed a more gradual increase over 8 days peaking on 16 April, then declining gradually without leading to eruption. Notably, low frequency (LF) and drumbeat earthquakes were absent in non-eruptive unrest episodes. The transition to proximal LFs in 2024 likely signals pressure fluctuations, intensified magma degassing, and conduit formation, acting as an important precursor to eruption. Additionally, the occurrence of short bursts of drumbeat seismicity likely reflects the onset of the shallow magma ascent and was an important short-term precursor to the eruption. Finally, we examine the potential influence of regional tectonic earthquakes on the escalation of precursory unrest in 2024.

North Sulawesi, Ruang volcano↗

Wave climate, sediment supply and the depth of the sand-mud transition: A global survey

The influences of wave climate and sediment supply on the depths of sand-mud transitions (hSMT) are investigated. Depths of sand-mud transitions (SMT) are based on published granulometric data from surface samples gathered from 14 sites in different wave-dominated coastal environments with fluvial input, including high energy (Columbia, Eel, Russian, San Lorenzo, Copper, and Nepean rivers), moderate energy (Ebro, Nile, Santa Clara, Tseng-wen and Kao-ping rivers), and low energy (Po, Pescara and Tronto rivers) regimes. Geometric mean diameter (GMD) and mud percent are compiled from samples along shore-normal transects, and significant correlation is found between these two textural descriptors. Nominally, the SMT is defined as the transition from GMD > 63????m to < 63????m. The correlation between mud percent and GMD permits an alternative, complementary definition of the SMT as the transition from < 25% mud to > 25% mud. This dual definition is applied to the 14 systems, and hSMT is tabulated for each system. Correlation is found between hSMT and the depth at which wave-induced bottom shear stress equals the critical erosion shear stress of the largest mud particles and also between hSMT and significant wave height. Lack of correlation between hSMT and sediment load of nearby rivers indicates either that the influence of sediment supply on depth of the sand-mud transition is small or is not adequately represented in this study. Shelf width and slope do not correlate with residuals from a formalized linear relationship between hSMT and significant wave height. The relationship between hSMT and wave climate is useful for calibration of numerical models of erosion and deposition in wave-dominated coastal environments, for prediction of seabed properties in remote or inaccessible areas, and for reconstruction of paleodepth based on facies changes from sand to mud in ancient rocks. ?? 2008.

Marine Geology↗

TreeMAC: Localized TDMA MAC protocol for real-time high-data-rate sensor networks

Earlier sensor network MAC protocols focus on energy conservation in low-duty cycle applications, while some recent applications involve real-time high-data-rate signals. This motivates us to design an innovative localized TDMA MAC protocol to achieve high throughput and low congestion in data collection sensor networks, besides energy conservation. TreeMAC divides a time cycle into frames and each frame into slots. A parent node determines the children's frame assignment based on their relative bandwidth demand, and each node calculates its own slot assignment based on its hop-count to the sink. This innovative 2-dimensional frame-slot assignment algorithm has the following nice theory properties. First, given any node, at any time slot, there is at most one active sender in its neighborhood (including itself). Second, the packet scheduling with TreeMAC is bufferless, which therefore minimizes the probability of network congestion. Third, the data throughput to the gateway is at least 1/3 of the optimum assuming reliable links. Our experiments on a 24-node testbed show that TreeMAC protocol significantly improves network throughput, fairness, and energy efficiency compared to TinyOS's default CSMA MAC protocol and a recent TDMA MAC protocol Funneling-MAC. Partial results of this paper were published in Song, Huang, Shirazi and Lahusen [W.-Z. Song, R. Huang, B. Shirazi, and R. Lahusen, TreeMAC: Localized TDMA MAC protocol for high-throughput and fairness in sensor networks, in: The 7th Annual IEEE International Conference on Pervasive Computing and Communications, PerCom, March 2009]. Our new contributions include analyses of the performance of TreeMAC from various aspects. We also present more implementation detail and evaluate TreeMAC from other aspects. ?? 2009 Elsevier B.V.

Pervasive and Mobile Computing↗

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↗