USGS Science⌕ Search

SEARCH · USGS Science

Results for “Energy”

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 1,441 records · Page 80Linked to original sources

Does centennial morphodynamic evolution lead to higher channel efficiency in San Pablo Bay, California?

Measured bathymetries on 30 year interval over the past 150 years show that San Pablo Bay experienced periods of considerable deposition followed by periods of net erosion. However, the main channel in San Pablo Bay has continuously narrowed. The underlying mechanisms and consequences of this tidal channel evolution are not well understood. The central question of this study is whether tidal channels evolve towards a geometry that leads to more efficient hydraulic conveyance and sediment throughput. We applied a hydrodynamic process-based, numerical model (Delft3D), which was run on 5 San Pablo Bay bathymetries measured between 1856 and 1983. Model results shows increasing energy dissipation levels for lower water flows leading to an approximately 15% lower efficiency in 1983 compared to 1856. During the same period the relative seaward sediment throughput through the San Pablo Bay main channel increased by 10%. A probable explanation is that San Pablo Bay is still affected by the excessive historic sediment supply. Sea level rise and Delta surface water area variations over 150 years have limited effect on the model results. With expected lower sediment concentrations in the watershed and less impact of wind waves due to erosion of the shallow flats, it is possible that energy dissipations levels will decrease again in future decades. Our study suggests that the morphodynamic adaptation time scale to excessive variations in sediment supply to estuaries may be on the order of centuries.

California↗

Permafrost-associated natural gas hydrate occurrences on the Alaska North Slope

In the 1960s Russian scientists made what was then a bold assertion that gas hydrates should occur in abundance in nature. Since this early start, the scientific foundation has been built for the realization that gas hydrates are a global phenomenon, occurring in permafrost regions of the arctic and in deep water portions of most continental margins worldwide. In 1995, the U.S. Geological Survey made the first systematic assessment of the in-place natural gas hydrate resources of the United States. That study suggested that the amount of gas in the gas hydrate accumulations of northern Alaska probably exceeds the volume of known conventional gas resources on the North Slope. Researchers have long speculated that gas hydrates could eventually become a producible energy resource, yet technical and economic hurdles have historically made gas hydrate development a distant goal. This view began to change in recent years with the realization that this unconventional resource could be developed with existing conventional oil and gas production technology. One of the most significant developments was the completion of the BPXA-DOE-USGS Mount Elbert Gas Hydrate Stratigraphic Test Well on the Alaska North Slope, which along with the Mallik project in Canada, have for the first time allowed the rational assessment of gas hydrate production technology and concepts. Almost 40 years of gas hydrate research in northern Alaska has confirmed the occurrence of at least two large gas hydrate accumulations on the North Slope. We have also seen in Alaska the first ever assessment of how much gas could be technically recovered from gas hydrates. However, significant technical concerns need to be further resolved in order to assess the ultimate impact of gas hydrate energy resource development in northern Alaska.

Alaska↗

Preface to the special issue on gas hydrate drilling in the Eastern Nankai Trough

Methane hydrate traps enormous amounts of methane in frozen deposits in continental margin sediments, and these deposits have long been targeted for studies investigating their potential as an energy resource. As a concentrated form of methane that occurs at shallower depths than conventional and most unconventional gas reservoirs, methane hydrates could be a readily accessible source of hydrocarbons for countries hosting deposits within their Exclusive Economic Zones. Japan is one such country, and since 2001 the Research Consortium for Methane Hydrate Resources in Japan (referred to as MH21) has conducted laboratory, modeling, and field-based programs to study methane hydrates as an energy resource. The MH21 consortium is funded by the Japanese Ministry of Trade and Industry (METI) and led by the Japan Oil, Gas and Metals National Oil Corporation (JOGMEC) and the National Institute of Advanced Industrial Science and Technology (AIST).

Marine and Petroleum Geology↗

India National Gas Hydrate Program Expedition 02 Summary of Scientific Results: Gas hydrate systems along the eastern continental margin of India

The primary objectives of the India National Gas Hydrate Program Expedition 02 (NGHP-02) were to obtain new data on the occurrence of gas hydrate systems and to advance the understanding of the controls on the formation of gas hydrate accumulations in the offshore of India. In accordance with the ultimate overall goal of the NGHP effort to assess the energy resource potential of marine gas hydrates in India, particular focus was placed on the exploration and evaluation of gas hydrate occurrences at high saturations in sand-rich systems. NGHP-02 operations were conducted from 3-March-2015 to 28-July-2015 off the eastern coast of India and included logging while drilling (LWD) operations at 25 locations, and coring and wireline logging operations at 10 locations, in the Krishna-Godavari and Mahanadi Basins. The formation of highly concentrated gas hydrate accumulations, which are more suitable for energy extraction, requires the presence of relatively coarse-grained sediments with porosity needed to support the migration and accumulation of gas, and the nucleation of gas hydrate. The results of downhole logging, coring and formation pressure testing operations during NGHP-02 have confirmed the presence of extensive sand-rich depositional systems throughout the deepwater portions of the Krishna-Godavari and Mahanadi Basins. Two areas of Krishna-Godavari Basin, referred to as Areas B and C, contain substantial gas hydrate accumulations in sand-rich systems and therefore represent ideal candidate sites for future gas hydrate production testing. This summary and technical report includes a comprehensive synthesis of the geologic, geophysical, geochemical, and physical property data acquired during NGHP-02 as it relates to the controls on gas hydrate occurrence, particularly with regards to sand-hosted accumulations. In the Mahanadi Basin, despite the confirmation of extensive reservoir capacity, gas supply at the NGHP-02 sites was insufficient to charge the reservoirs with gas hydrates. In the Krishna-Godavari Basin, extensive reservoir systems were confirmed with sediment grain-sizes ranging from coarse-silts to gravels. These reservoirs range from fully- to partially filled with gas hydrate. The gas is determined to be from only microbial sources, and in part migrated into the reservoirs from deeper systems. The controls on gas hydrate occurrence are complex and varied; and include substantial reservoir heterogeneity and sufficient permeability throughout the reservoirs and seals that allowed pervasive fluid flow into and through the hydrate-bearing systems. These discoveries are the most significant confirmation of the exploration approach that focuses on direct detection of hydrate reservoirs supported by comprehensive petroleum systems analyses.

Journal of Marine and Petroleum Geology↗

An international code comparison study on coupled thermal, hydrologic and geomechanical processes of natural gas hydrate-bearing sediments

Geologic reservoirs containing gas hydrate occur beneath permafrost environments and within marine continental slope sediments, representing a potentially vast natural gas source. Numerical simulators provide scientists and engineers with tools for understanding how production efficiency depends on the numerous, interdependent (coupled) processes associated with potential production strategies for these gas hydrate reservoirs. Confidence in the modeling and forecasting abilities of these gas hydrate reservoir simulators (GHRSs) grows with successful comparisons against laboratory and field test results, but such results are rare, particularly in natural settings. The hydrate community recognized another approach to building confidence in the GHRS: comparing simulation results between independently developed and executed computer codes on structured problems specifically tailored to the interdependent processes relevant for gas hydrate-bearing systems. The United States Department of Energy, National Energy Technology Laboratory (DOE/NETL), sponsored the first international gas hydrate code comparison study, IGHCCS1, in the early 2000s. IGHCCS1 focused on coupled thermal and hydrologic processes associated with producing gas hydrates from geologic reservoirs via depressurization and thermal stimulation. Subsequently, GHRSs have advanced to model more complex production technologies and incorporate geomechanical processes into the existing framework of coupled thermal and hydrologic modeling. This paper contributes to the validation of these recent GHRS developments by providing results from a second GHRS code comparison study, IGHCCS2, also sponsored by DOE/NETL. IGHCCS2 includes participants from an international collection of universities, research institutes, industry, national laboratories, and national geologic surveys. Study participants developed a series of five benchmark problems principally involving gas hydrate processes with geomechanical components. The five problems range from simple geometries with analytical solutions to a representation of the world’s first offshore production test of methane hydrates, which was conducted with the depressurization method off the coast of Japan. To identify strengths and limitations in the various GHRSs, study participants submitted solutions for the benchmark problems and discussed differing results via teleconferences. The GHRSs evolved over the course of IGHCCS2 as researchers modified their simulators to reflect new insights, lessons learned, and suggested performance enhancements. The five benchmark problems, final sample solutions, and lessons learned that are presented here document the study outcomes and serve as a reference guide for developing and testing gas hydrate reservoir simulators.

Journal of Marine and Petroleum Geology↗

Estimating the pelagic ocean’s benefits to humanity can enhance ocean governance

The human footprint on the global ocean is ever-increasing, particularly with new ways to grow food in the ocean, new technologies in marine energy production as a way to resolve climate change, and transport and commerce expanding across the ocean. Yet, human activities in the ocean have long been managed using a sectoral approach (e.g., fisheries, biodiversity protection, energy production, shipping) rather than a holistic integration of sector interactions, trade-offs, costs, and benefits. Coordination across sectors is now more critical than ever, not only because of the expanding human footprint but also because of climate change impacts on the ocean. Sustainable global ocean use can support the Blue Economy while also reversing negative climate impacts on the ocean. Advancements in science and technology, along with increasing momentum on global commitments to sound ocean governance, and science diplomacy internationally can support sustainable ocean use with accurate and timely information about the status and trends in the ocean’s ecosystem services (benefits) to society. Near-real time information about ecosystem services’ dynamics is critical to policymaking for a sustainable Blue Economy that works for nature and people in an ever-changing ocean. Here, we propose seven principles for ecosystem service assessments, essentially to international science diplomacy, for consideration by global marine policy communities.

Marine Policy↗

Persistence of 10-year old Exxon Valdez oil on Gulf of Alaska beaches: The importance of boulder-armoring

Oil stranded as a result of the 1989 Exxon Valdez spill has persisted for >10 years at study sites on Gulf of Alaska shores distant from the spill's origin. These sites were contaminated by "oil mousse", which persists in these settings due to armoring of underlying sediments and their included oil beneath boulders. The boulder-armored beaches that we resampled in 1999 showed continued contamination by subsurface oil, despite their exposure to moderate to high wave energies. Significant declines in surface oil cover occurred at all study sites. In contrast, mousse has persisted under boulders in amounts similar to what was present in 1994 and probably in 1989. Especially striking is the general lack of weathering of this subsurface oil over the last decade. Oil at five of the six armored-beach sites 10 years after the spill is compositionally similar to 11-day old Exxon Valdez oil. Analysis of movements in the boulder-armor that covers the study beaches reveals that only minor shifts have occurred since 1994, suggesting that over the last five, and probably over the last 10 years, boulder-armors have remained largely unmoved at the study sites. These findings emphasize the importance of particular geomorphic parameters in determining stranded oil persistence. Surface armoring, combined with stranding of oil mousse, results in the unexpectedly lengthy persistence of only lightly to moderately weathered oil within otherwise high-energy wave environments.

Alaska↗

Shifting sands: The influence of coral reefs on shoreline erosion from short-term storm protection to long-term disequilibrium

Climate change is exacerbating shoreline erosion and flooding, posing significant risks to coastal communities. Although traditional coastal defenses such as seawalls, dykes, and breakwaters offer protection from these hazards, their high environmental and economic costs are driving interest in cost-competitive nature-based solutions. Coral reef restoration is a nature-based solution that may be particularly apt to mitigate tropical coastal flooding and shoreline erosion while providing benefits to local tourism, fisheries, and nature. However, the novelty of this field requires studies demonstrating the benefits of reefs for coastal protection. While the flood protection benefits of reefs have been well-documented, their effects on shoreline erosion are comparatively less understood. Here, we investigate the effects of coral reefs on shoreline erosion by comparing tropical beach responses at short and long timescales, as well as identifying important reef structural features influencing coastal erosion rates. Our analyses leveraged two key datasets created in this study: the first derived from a literature review on short-term shoreline erosion due to storm events, and another compiling >80 years of long-term erosion rates, bathymetry, habitat, and wave energy for the Hawaiian Islands of Kauaʻi, Oʻahu, and Maui. Our analyses reveal three key findings regarding the effects of reefs on shoreline erosion. Firstly, we find evidence for the role of reefs in mitigating shoreline erosion during storm events, with coral reef-protected beaches experiencing 97 % less beach volume loss than unprotected beaches. Secondly, a linear regression analysis demonstrates that coral reef structure and wave energy are important predictors of long-term shoreline erosion rates, explaining 34 % of the variation across the Hawaiian Islands. Consistent with prior research, we find beaches protected by coral reefs with shallow reef crests, wide reef flats, calmer offshore conditions, and positioned farther from the shore exhibit lower erosion rates than others. Finally, when comparing historical erosion rates of protected and unprotected beaches in Hawai'i, we find a seemingly incongruous pattern where coral reef-protected beaches eroded up to 2x faster than beaches without reefs. While the cause of the enhanced erosion is yet to be fully understood, a combination of coral reef structural degradation and sea-level rise is likely shifting the equilibrium profiles of reef-protected beaches inshore. These results emphasize the role of coral reefs in reducing coastal erosion during storm events while revealing contrasting erosion patterns over long timescales. Future studies would ideally broaden the scope to include various regions, utilize advanced sediment transport models, and undertake field experiments to deepen our understanding of coral reef-coupled shoreline dynamics.

Nature-Based Solutions↗

Investigating the impact of surface wave breaking on modeling the trajectories of drifters in the northern Adriatic Sea during a wind-storm event

An accurate numerical prediction of the oceanic upper layer velocity is a demanding requirement for many applications at sea and is a function of several near-surface processes that need to be incorporated in a numerical model. Among them, we assess the effects of vertical resolution, different vertical mixing parameterization (the so-called Generic Length Scale -GLS- set of k-??, k-??, gen, and the Mellor-Yamada), and surface roughness values on turbulent kinetic energy (k) injection from breaking waves. First, we modified the GLS turbulence closure formulation in the Regional Ocean Modeling System (ROMS) to incorporate the surface flux of turbulent kinetic energy due to wave breaking. Then, we applied the model to idealized test cases, exploring the sensitivity to the above mentioned factors. Last, the model was applied to a realistic situation in the Adriatic Sea driven by numerical meteorological forcings and river discharges. In this case, numerical drifters were released during an intense episode of Bora winds that occurred in mid-February 2003, and their trajectories compared to the displacement of satellite-tracked drifters deployed during the ADRIA02-03 sea-truth campaign. Results indicted that the inclusion of the wave breaking process helps improve the accuracy of the numerical simulations, subject to an increase in the typical value of the surface roughness z 0 . Specifically, the best performance was obtained using ?? CH = 56,000 in the Charnok formula, the wave breaking parameterization activated, k-?? as the turbulence closure model. With these options, the relative error with respect to the average distance of the drifter was about 25% (5.5 km/day). The most sensitive factors in the model were found to be the value of ?? CH enhanced with respect to a standard value, followed by the adoption of wave breaking parameterization and the particular turbulence closure model selected. ?? 2009 Elsevier Ltd.

Ocean Modelling↗

Holocene sea-level oscillations and environmental changes on the Eastern Black Sea shelf

A multi-proxy study of four sediment cores from the Eastern (Caucasian) Black Sea shelf revealed five transgressive-regressive cycles overprinted on the general trend of glacioeustatic sea-level rise during the last 11,000??14C yr. These cycles are well represented in micro-and macrofossil assemblages, sedimentation rates, and grain size variations. The oldest recovered sediments were deposited in the Neoeuxinian semi-freshwater basin (??? 10,500-9000??14C yr BP) and contain a Caspian-type mollusk fauna dominated by Dreissena rostriformis. Low ??18O and ??13C values are measured on this species. The first appearance of marine mollusks and ostracodes from the Mediterranean is established in this part of the Black Sea at ??? 8200??14C yr BP, i.e., about 1000-2000??yr later than the appearance of marine microfossils in the deeper part of the sea. The Early Holocene (Bugazian to Vityazevian) condensed section of shell and shelly mud sediments with at least two hiatuses represent a high-energy shelf-edge facies. It contains a transitional assemblage representing a mixture of Caspian and Mediterranean fauna. This pattern suggests a dual-flow regime via the Bosphorus after 8200??14C yr BP. Caspian species disappear and oligohaline species decrease in abundance during the Vityazevian-Prekalamitian cycle. Later, during the Middle to Late Holocene, low sea-level stands are characterized by shell layers, whereas silty mud with various mollusk and ostracode assemblages rapidly accumulated during transgressions. Restricted mud accumulation, as well as benthic faunal composition and abundance, suggest high-energy and well-ventilated bottom water during low sea-level stands. A trend of 18O enrichment in mollusk shells points to an increase in bottom-water salinity during the Vityazevian to Kalamitian transgressions (??? 7000 to 5700??14C yr BP) due to a more open connection with the Mediterranean, while a pronounced increase in polyhaline species abundance is established during the Kalamitian to Djemetean transgressions (??? 6400 to 2700??14C yr BP). However, the composition of the faunal assemblage indicates that bottom-water salinity never exceeded modern values of 18-20??psu. ?? 2006 Elsevier B.V. All rights reserved.

Palaeogeography, Palaeoclimatology, Palaeoecology↗

Parasitic castration: the evolution and ecology of body snatchers

Castration is a response to the tradeoff between consumption and longevity faced by parasites. Common parasitic castrators include larval trematodes in snails, and isopod and barnacle parasites of crustaceans. The infected host (with its many unique properties) is the extended phenotype of the parasitic castrator. Because an individual parasitic castrator can usurp all the reproductive energy from a host, and that energy is limited, intra- and interspecific competition among castrators is generally intense. These parasites can be abundant and can substantially depress host density. Host populations subject to high rates of parasitic castration appear to respond by maturing more rapidly.

Trends in Parasitology↗

Estimating price elasticity of demand for mineral commodities used in lithium-ion batteries in the face of surging demand

The accelerating adoption of clean energy technologies is driving demand for certain mineral commodities like lithium, essential for electric vehicle batteries. Understanding the influence of the energy transition on each market requires examining their supply and demand price elasticities. However, there have only been a limited number of studies that have estimated mineral demand price elasticities in emerging technologies. We empirically estimate the price elasticity demand (PEDs) for mineral commodities used in lithium-ion battery cathodes and anodes—cobalt, graphite, lithium, manganese, and nickel. We also test whether the price elasticities of these mineral commodities have changed due to any structural changes in recent years, given the recent expansion in the sales of electric vehicles. Using Two Stage Least Squared (2SLS) econometric techniques, we find that demand has become less elastic for lithium (-0.11), cobalt (-0.45), nickel (-0.09), and manganese (-0.04) after structural breaks in 2020, 2013, 2009, and 2014, respectively. In contrast, demand for natural amorphous graphite (-0.36), and natural flake graphite (-0.58) remains relatively stable over the time period assessed.

Resources, Conservation and Recycling↗

On-demand global Landsat evapotranspiration product: Development, evaluation, and dissemination

Global actual evapotranspiration (ET) is one of the essential climate variables needed to understand and manage the relationships among food, energy, and water resources. The U.S. Geological Survey Earth Resources Observation and Science (EROS) Center launched a provisional ET product in 2020, offering on-demand, field-scale global coverage derived from Landsat data through the EROS Science Processing Architecture (ESPA) platform. The ESPA interface provides ET data for cloud-free Landsat overpasses starting in 1982 with Landsat 4 through the current Landsat 9. The ET data are delivered as a Provisional Level-3 Science product created using the Operational Simplified Surface Energy Balance (SSEBop) model. Landsat surface temperature and reference ET are the main model drivers along with vegetation index and net radiation for model parameterization. A large volume of Landsat-based ET orders (e.g., over 1,200,000 images from June 2020 through December 2025) around the world indicate increasing awareness and application of the ET data. The ESPA platform enables land and water resource managers and researchers to access a first-order ET product without requiring advanced knowledge of remote sensing technology or evapotranspiration modeling. We present the methodology and workflow of the on-demand Landsat ET product and its performance evaluations over diverse hydro-climatic settings. The product can help estimate field-scale consumptive water use and thus quickly and consistently assess historical water use, allocation, and budget to inform water management under changing environments. Future ET data aggregated to monthly and seasonal time scales are expected to enhance integration with decision-making tools and procedures.

Remote Sensing of Environment↗

Improving ChemCam LIBS long-distance elemental compositions using empirical abundance trends

The ChemCam instrument on the Curiosity rover provides chemical compositions of Martian rocks and soils using remote laser-induced breakdown spectroscopy (LIBS). The elemental calibration is stable as a function of distance for Ti, Fe, Mg, and Ca. The calibration shows small, systematically increasing abundance trends as a function of distance for Al, Na, K, and to some extent, Si. The distance effect is known to be due to a dependence with distance on the relative strengths of atomic transition lines. Emission lines representing transitions from relatively low energy levels remain intense at longer distances while emission lines representing transitions from higher energy levels decrease in intensity more rapidly as a function of distance. The multivariate algorithms used to determine elemental compositions rely on a large number of emission lines in many cases, so rather than trying to correct all emission lines, a study was made of the predicted compositions as a function of distance, in order to determine an empirical correction. Abundance trends can be well approximated by a linear trend with distance within the ranges of abundances and distances observed up to ~6 m. Data from 11 distinct geological members and data groups of the Murray formation in Gale crater, Mars, were used to form the model, selecting the members and data groups yielding the best statistics. The model was tested using data from several targets observed from two different distances, and using data from the Kimberley formation, the composition of which is significantly different from the Murray formation, showing that the model works on other compositions beyond those used to build the model. For long-distance observations up to ~6 m, corrections can be made back to an equivalent composition at the median distance of ChemCam observations (2.6 m). The model has been validated up to 6.2 m, although ChemCam is able to observe bedrock targets to >7 m, and iron meteorites to distances of >9 m.

Spectrochimica Acta Part B: Atomic Spectroscopy↗

On the human appropriation of wetland primary production

Humans are changing the Earth's surface at an accelerating pace, with significant consequences for ecosystems and their biodiversity. Landscape transformation has far-reaching implications including reduced net primary production (NPP) available to support ecosystems, reduced energy supplies to consumers, and disruption of ecosystem services such as carbon storage. Anthropogenic activities have reduced global NPP available to terrestrial ecosystems by nearly 25%, but the loss of NPP from wetland ecosystems is unknown. We used a simple approach to estimate aquatic NPP from measured habitat areas and habitat-specific areal productivity in the largest wetland complex on the USA west coast, comparing historical and modern landscapes and a scenario of wetland restoration. Results show that a 77% loss of wetland habitats (primarily marshes) has reduced ecosystem NPP by 94%, C (energy) flow to herbivores by 89%, and detritus production by 94%. Our results also show that attainment of habitat restoration goals could recover 12% of lost NPP and measurably increase carbon flow to consumers, including at-risk species and their food resources. This case study illustrates how a simple approach for quantifying the loss of NPP from measured habitat losses can guide wetland conservation plans by establishing historical baselines, projecting functional outcomes of different restoration scenarios, and establishing performance metrics to gauge success.

California↗

Energetic constraints and the paradox of a diffusing population in a heterogeneous environment

Previous mathematical analyses have shown that, for certain parameter ranges, a population, described by logistic equations on a set of connected patches, and diffusing among them, can reach a higher equilibrium total population when the local carrying capacities are heterogeneously distributed across patches, than when carrying capacities having the same total sum are homogeneously distributed across the patches. It is shown here that this apparently paradoxical result is explained when the resultant differences in energy inputs to the whole multi-patch system are taken into account. We examine both Pearl–Verhulst and Original Verhulst logistic models and show that, when total input of energy or limiting resource, is constrained to be the same in the homogeneous and heterogeneous cases, the total population in the heterogeneous patches can never reach an asymptotic equilibrium that is greater than the sum of the carrying capacities over the homogeneous patches. We further show that, when the dynamics of the limiting resources are explicitly modeled, as in a chemostat model, the paradoxical result of the logistic models does not occur. These results have implications concerning the use of some ubiquitous equations of population ecology in modeling populations in space.

Theoretical Population Biology↗

Adsorption of sulfur dioxide on ammonia-treated activated carbon fibers

A series of activated carbon fibers (ACFs) and ammonia-treated ACFs prepared from phenolic fiber precursors have been studied to elucidate the role of pore size, pore volume, and pore surface chemistry on adsorption of sulfur dioxide and its catalytic conversion to sulfuric acid. As expected, the incorporation of basic functional groups into the ACFs was shown as an effective method for increasing adsorption of sulfur dioxide. The adsorption capacity for dry SO2 did not follow specific trends; however the adsorption energies calculated from the DR equation were found to increase linearly with nitrogen content for each series of ACFs. Much higher adsorption capacities were achieved for SO2 in the presence of oxygen and water due to its catalytic conversion to H2SO4. The dominant factor for increasing adsorption of SO2 from simulated flue gas for each series of fibers studied was the weight percent of basic nitrogen groups present. In addition, the adsorption energies calculated for dry SO2 were shown to be linearly related to the adsorption capacity of H2SO4 from this flue gas for all fibers. It was shown that optimization of this parameter along with the pore volume results in higher adsorption capacities for removal of SO2 from flue gases. ?? 2001 Elsevier Science Ltd. All rights reserved.

Carbon↗

Mercury concentration in coal — Unraveling the puzzle

Based on data from the US Geological Survey's COALQUAL database, the mean concentration of mercury in coal is approximately 0.2 μg g −1 . Assuming the database reflects in-ground US coal resources, values for conterminous US coal areas range from 0.08 μg g −1 for coal in the San Juan and Uinta regions to 0.22 μg g −1 for the Gulf Coast lignites. Recalculating the COALQUAL data to an equal energy basis unadjusted for moisture differences, the Gulf Coast lignites have the highest values (36.4 lb of Hg/10 12 Btu) and the Hams Fork region coal has the lowest value (4.8 lb of Hg/10 12 Btu). Strong indirect geochemical evidence indicates that a substantial proportion of the mercury in coal is associated with pyrite occurrence. This association of mercury and pyrite probably accounts for the removal of mercury with the pyrite by physical coal cleaning procedures. Data from the literature indicate that conventional coal cleaning removes approximately 37% of the mercury on an equal energy basis, with a range of 0% to 78%. When the average mercury reduction value is applied to in-ground mercury values from the COALQUAL database, the resulting `cleaned' mercury values are very close to mercury in `as-shipped' coal from the same coal bed in the same county. Applying the reduction factor for coal cleaning to eastern US bituminous coal, reduces the mercury input load compared to lower-rank non-cleaned western US coal. In the absence of analytical data on as-shipped coal, the mercury data in the COALQUAL database, adjusted for cleanability where appropriate, may be used as an estimator of mercury contents of as-shipped coal.

Fuel↗