Search USGSSearch

SEARCH · Search USGS

Results for “Applied 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 181 records · Page 10Linked to original sources

Preface

Energy is the essential commodity that powers the expanding global economy. Starting in the 1950s, oil and natural gas became the main sources of primary energy for the rapidly increasing world population ( Edwards, 1997 ). In 2003, petroleum was the source for 62.1% of global energy, and projections by energy information administration (EIA) indicate that oil and gas will continue their dominance, supplying 59.5% of global energy in 2030 ( EIA, 2007 ). Unfortunately petroleum and coal consumption carry major detrimental environmental impacts that may be regional or global in scale, including air pollution, global climate change and oil spills. This special volume of Applied Geochemistry, devoted to “Environmental Issues Related to Oil and Gas Exploration and Production”, does not address these major impacts directly because air pollution and global climate change are issues related primarily to the burning of petroleum and coal, and major oil spills generally occur during ocean transport, such as the Exxon Valdez 1989 spill of 42,000 m 3 (260,000 bbl) oil into Prince William Sound, Alaska.

Applied Geochemistry

Comparing Laser Desorption Ionization and Atmospheric Pressure Photoionization Coupled to Fourier Transform Ion Cyclotron Resonance Mass Spectrometry To Characterize Shale Oils at the Molecular Level

Laser desorption ionization (LDI) coupled to Fourier transform ion cyclotron resonance mass spectrometry (FT-ICR MS) was used to analyze shale oils. Previous work showed that LDI is a sensitive ionization technique for assessing aromatic nitrogen compounds, and oils generated from Green River Formation oil shales are well-documented as being rich in nitrogen. The data presented here demonstrate that LDI is effective in ionizing high-double-bond-equivalent (DBE) compounds and, therefore, is a suitable method for characterizing compounds with condensed structures. Additionally, LDI generates radical cations and protonated ions concurrently, the distribution of which depends upon the molecular structures and elemental compositions, and the basicity of compounds is closely related to the generation of protonated ions. This study demonstrates that LDI FT-ICR MS is an effective ionization technique for use in the study of shale oils at the molecular level. To the best of our knowledge, this is the first time that LDI FT-ICR MS has been applied to shale oils.

Energy & Fuels

Velocity structure of a bottom simulating reflector offshore Peru: Results from full waveform inversion

Much of our knowledge of the worldwide distribution of submarine gas hydrates comes from seismic observations of Bottom Simulating Reflectors (BSRs). Full waveform inversion has proven to be a reliable technique for studying the fine structure of BSRs using the compressional wave velocity. We applied a non-linear full waveform inversion technique to a BSR at a location offshore Peru. We first determined the large-scale features of seismic velocity variations using a statistical inversion technique to maximise coherent energy along travel-time curves. These velocities were used for a starting velocity model for the full waveform inversion, which yielded a detailed velocity/depth model in the vicinity of the BSR. We found that the data are best fit by a model in which the BSR consists of a thin, low-velocity layer. The compressional wave velocity drops from 2.15 km/s down to an average of 1.70 km/s in an 18m thick interval, with a minimum velocity of 1.62 km/s in a 6 m interval. The resulting compressional wave velocity was used to estimate gas content in the sediments. Our results suggest that the low velocity layer is a 6-18 m thick zone containing a few percent of free gas in the pore space. The presence of the BSR coincides with a region of vertical uplift. Therefore, we suggest that gas at this BSR is formed by a dissociation of hydrates at the base of the hydrate stability zone due to uplift and subsequently a decrease in pressure.

Earth and Planetary Science Letters

Petroleum system modeling capabilities for use in oil and gas resource assessments

Summary: Petroleum resource assessments are among the most highly visible and frequently cited scientific products of the U.S. Geological Survey. The assessments integrate diverse and extensive information on the geologic, geochemical, and petroleum production histories of provinces and regions of the United States and the World. Petroleum systems modeling incorporates these geoscience data in ways that strengthen the assessment process and results are presented visually and numerically. The purpose of this report is to outline the requirements, advantages, and limitations of one-dimensional (1-D), two-dimensional (2-D), and three-dimensional (3-D) petroleum systems modeling that can be applied to the assessment of oil and gas resources. Primary focus is on the application of the Integrated Exploration Systems (IES) PetroMod? software because of familiarity with that program as well as the emphasis by the USGS Energy Program on standardizing to one modeling application. The Western Canada Sedimentary Basin (WCSB) is used to demonstrate the use of the PetroMod? software. Petroleum systems modeling quantitatively extends the 'total petroleum systems' (TPS) concept (Magoon and Dow, 1994; Magoon and Schmoker, 2000) that is employed in USGS resource assessments. Modeling allows integration of state-of-the-art analysis techniques, and provides the means to test and refine understanding of oil and gas generation, migration, and accumulation. Results of modeling are presented visually, numerically, and statistically, which enhances interpretation of the processes that affect TPSs through time. Modeling also provides a framework for the input and processing of many kinds of data essential in resource assessment, including (1) petroleum system elements such as reservoir, seal, and source rock intervals; (2) timing of depositional, hiatus, and erosional events and their influences on petroleum systems; (3) incorporation of vertical and lateral distribution and lithologies of strata that compose the petroleum systems; and (4) calculations of pressure-volume-temperature (PVT) histories. As digital data on petroleum systems continue to expand, the models can integrate these data into USGS resource assessments by building and displaying, through time, areas of petroleum generation, migration pathways, accumulations, and relative contributions of source rocks to the hydrocarbon components. IES PetroMod? 1-D, 2-D, and 3-D models are integrated such that each uses the same variables for petroleum systems modeling. 1-D burial history models are point locations, mainly wells. Maps and cross-sections model geologic information in two dimensions and can incorporate direct input of 2-D seismic data and interpretations using various formats. Both 1-D and 2-D models use data essential for assessments and, following data compilation, they can be completed in hours and retested in minutes. Such models should be built early in the geologic assessment process, inasmuch as they incorporate the petroleum system elements of reservoir, source, and seal rock intervals with associated lithologies and depositional and erosional ages. The models can be used to delineate the petroleum systems. A number of 1-D and 2-D models can be constructed across a geologic province and used by the assessment geologists as a 3-D framework of processes that control petroleum generation, migration, and accumulation. The primary limitation of these models is that they only represent generation, migration, and accumulation in two dimensions. 3-D models are generally built at reservoir to basin scales. They provide a much more detailed and realistic representation of petroleum systems than 1-D or 2-D models because they portray more fully the temporal and physical relations among (1) burial history; (2) lithologies and associated changes through burial in porosity, permeability, and compaction; (3) hydrodynamic effects; and (4) other parameters that influence petroleum gen

Open-File Report

Gross-beta activity in ground water: natural sources and artifacts of sampling and laboratory analysis

Gross-beta activity has been used as an indicator of beta-emitting isotopes in water since at least the early 1950s. Originally designed for detection of radioactive releases from nuclear facilities and weapons tests, analysis of gross-beta activity is widely used in studies of naturally occurring radioactivity in ground water. Analyses of about 800 samples from 5 ground-water regions of the United States provide a basis for evaluating the utility of this measurement. The data suggest that measured gross-beta activities are due to (1) long-lived radionuclides in ground water, and (2) ingrowth of beta-emitting radionuclides during holding times between collection of samples and laboratory measurements. Although 40 K and 228 Ra appear to be the primary sources of beta activity in ground water, the sum of 40 K plus 228 Ra appears to be less than the measured gross-beta activity in most ground-water samples. The difference between the contribution from these radionuclides and gross-beta activity is most pronounced in ground water with gross-beta activities > 10 pCi/L, where these 2 radionuclides account for less than one-half the measured ross-beta activity. One exception is groundwater from the Coastal Plain of New Jersey, where 40 K plus 228 Ra generally contribute most of the gross-beta activity. In contrast, 40 K and 228 Ra generally contribute most of beta activity in ground water with gross-beta activities < 1 pCi/L. The gross-beta technique does not measure all beta activity in ground water. Although 3 H contributes beta activity to some ground water, it is driven from the sample before counting and therefore is not detected by gross-beta measurements. Beta-emitting radionuclides with half-lives shorter than a few days can decay to low values between sampling and counting. Although little is known about concentrations of most short-lived beta-emitting radionuclides in environmental ground water (water unaffected by direct releases from nuclear facilities and weapons tests), their activities are expected to be low. Ingrowth of beta-emitting radionuclides during sample holding times can contribute to gross-beta activity, particularly in ground water with gross-beta activities > 10 pCi/L. Ingrowth of beta-emitting progeny of 238 U, specifically 234 Pa and 234 Th, contributes much of the measured gross-beta activity in ground water from 4 of the 5 areas studied. Consequently, gross-beta activity measurements commonly overestimate the abundance of beta-emitting radionuclides actually present in ground water. Differing sample holding times before analysis lead to differing amounts of ingrowth of the two progeny. Therefore, holding times can affect observed gross-beta measurements, particularly in ground water with 238 U activities that are moderate to high compared with the activity of 40 K plus 228 Ra. Uncertainties associated with counting efficiencies for beta particles with different energies further complicate the interpretation of gross-beta measurements.

Applied Geochemistry

Microbially mediated barite dissolution in anoxic brines

Fluids injected into shale formations during hydraulic fracturing of black shale return with extraordinarily high total-dissolved-solids (TDS) and high concentrations of barium (Ba) and radium (Ra). Barite, BaSO 4 , has been implicated as a possible source of Ba as well as a problematic mineral scale that forms on internal well surfaces, often in close association with radiobarite, (Ba,Ra)SO 4 . The dissolution of barite by abiotic processes is well quantified. However, the identification of microbial communities in flowback and produced water necessitates the need to understand barite dissolution in the presence of bacteria. Therefore, we evaluated the rates and mechanisms of abiotic and microbially-mediated barite dissolution under anoxic and hypersaline conditions in the laboratory. Barite dissolution experiments were conducted with bacterial enrichment cultures established from produced water from Marcellus Shale wells located in northcentral Pennsylvania. These cultures were dominated by anaerobic halophilic bacteria from the genus Halanaerobium . Dissolved Ba was determined by ICP-OES and barite surfaces were investigated by SEM and AFM. Our results reveal that: 1) higher amounts of barium (up to ∼5 × ) are released from barite in the presence of Halanaerobium cultures compared to brine controls after 30 days of reaction, 2) etch pits that develop on the barite (001) surface in the presence of Halanaerobium exhibit a morphology that is distinct from those that form during control experiments without bacteria, 3) etch pits that develop in the presence of Halanaerobium exhibit a morphology that is similar to the morphology of etch pits formed in the presence of strong organic chelators, EDTA and DTPA, and 4) experiments using dialysis membranes to separate barite from bacteria suggest that direct contact between the two is not required in order to promote dissolution. These results suggest that Halanaerobium increase the rate of barite dissolution in anoxic and high ionic strength solutions. Additionally, the increase in rate occurs without direct microbe-mineral contact suggesting that metabolites secreted by the bacteria may be responsible for promotion of dissolution. The findings of this study have implications for understanding barium cycling in marine/hypersaline environments, release of barium (and associated radium) from waste solids generated from energy and mining industries, as well as potential for developing new anti-scaling chemicals.

Applied Geochemistry

Index for reports released through the Department of Energy, DOE National Uranium Resource Evaluation Program, and Atomic Energy Commission

The U.S. Government's National Uranium Resource Evaluation (NURE) Program commenced in 1974 and was last comprehensively reported on in An Assessment Report on Uranium in the United States of America , GJO-111(80), dated October 1980. During the seven years of the NURE Program, an unprecedented quantity of geoscience information was gathered throughout the conterminous United States and Alaska. The resulting data bases in geology, geophysics, and geochemistry are substantial and can be applied to the search for many mineral resource commodities other than uranium. This paper describes briefly what data are available, where the data are located, and how they can be obtained by the public. These data fall into seven major categories: Geologic Quadrangle Maps, Radiometric Data from Aerial Surveys, Magnetic Data from Aerial Surveys, Geochemical Data from Waters and Sediments, Radiometric Data from Borehole Logging, Mineralogic Data from Rock Sample Analysis, Evaluation Data for Resource Estimates. Nearly all the NURE data were acquired, are organized, and can be accessed by National Topographic Map Series (NTMS) 1:250,000-scale quadrangle. Figures 1 and 2 show the distribution of these quadrangles throughout the lower 48 states and Alaska, respectively. Listed below are the 20 repositories scattered across the country where the U.S. Department of Energy (DOE) has placed most of the information on open-file.

Report

A comparison of consumptive-use estimates derived from the simplified surface energy balance approach and indirect reporting methods

Recent advances in remote-sensing technology and Simplified Surface Energy Balance (SSEB) methods can provide accurate and repeatable estimates of evapotranspiration (ET) when used with satellite observations of irrigated lands. Estimates of ET are generally considered equivalent to consumptive use (CU) because they represent the part of applied irrigation water that is evaporated, transpired, or otherwise not available for immediate reuse. The U.S. Geological Survey compared ET estimates from SSEB methods to CU data collected for 1995 using indirect methods as part of the National Water Use Information Program (NWUIP). Ten-year (2000-2009) average ET estimates from SSEB methods were derived using Moderate Resolution Imaging Spectroradiometer (MODIS) 1-kilometer satellite land surface temperature and gridded weather datasets from the Global Data Assimilation System (GDAS). County-level CU estimates for 1995 were assembled and referenced to 1-kilometer grid cells to synchronize with the SSEB ET estimates. Both datasets were seasonally and spatially weighted to represent the irrigation season (June-September) and those lands that were identified in the county as irrigated. A strong relation (R2 greater than 0.7) was determined between NWUIP CU and SSEB ET data. Regionally, the relation is stronger in arid western states than in humid eastern states, and positive and negative biases are both present at state-level comparisons. SSEB ET estimates can play a major role in monitoring and updating county-based CU estimates by providing a quick and cost-effective method to detect major year-to-year changes at county levels, as well as providing a means to disaggregate county-based ET estimates to sub-county levels. More research is needed to identify the causes for differences in state-based relations.

Scientific Investigations Report

Integration of seafloor point data in usSEABED

Sediments of the beach, nearshore, and continental shelves record a complex interplay of processes including wave energy and direction , currents, beach erosion or accretion, bluff or cliff retreat, fluvial input, sediment longshore and cross-shelf transport processes, contaminant content and transport, sediment sources and sinks, and others. In turn, sediments and rocks modify wave patterns, affect recreation and tourism, and provide habitat for fish, epifauna, and infauna. Character of the surficial seafloor also influences navigation, commercial and recreational fishing and gathering of other food sources, communication, piplines, national defense, and provides geologic resources including sand and gravel aggregates, minerals, and real or potential energy sources. The beaches, nearshore, and continental margins fall under overlapping levels of managerial responsibility between Federal, State, regional, and local government agencies and consortia. In addition, universities and other academic institutions investigate these places for pure or applied scientific reasons. Mapping is usually the first step in understanding any issue and is often comprised of remotely gathered geophysical data such as bathymetry and backscatter imagery, and groundtruthing; that is, the collection of physical and virtual samples to tie the remotely gathered data to reality. The physical samples are described and (or) carefully analyzed for grain-size information -- which records both the site's physical conditions and geologic past -- and commonly, for constituent components such as mineral and rock types (to determine onland sources and in situ chemical processes), carbonate and organic content and microfossils (for biological and oceanographic influences), and structure such as layering and bioturbation (for physical influences). The samples may also be subjected to physical tests such as comp[action analyses, liquefaction or plasticity limits, ans other parameters important when considering construction of offshore structures. In recent years, virtual sampling of the seafloor has become popular, through the use of towed video or photographic equipment and the addition of camera to oceanographic equipment such as corers and tripods. Before about ten years ago, most maps were made by hand. Recently, with the advent of desktop GIS packages, map making and resource analysis can be done nearly "on-the-fly" if geographically located data exist. While the problems of projection, scale, and resolution of digitized paper maps are commonly known amongst GIS-users, access to the original underlying point data allows for maps to be regenerated for digital use using statistically proven methods, provides increasing data density by including multiple studies, as well as allows the point data to be used in other ways than just mapping. These point data may be available in raw or refined or in worded descriptions. Raw data such as granulometric analyses can be manipulated through the use of known equations or empirical relationships to provide information about other parameters of the sediment, such as mean grainsize, sorting, erodability, or rugosity. If refined data are presented such as gravel, sand, and mud percentages, the parameter noted earlier may be estimated. In the case of worded descriptions, values for geologic terms can be assigned, for example, "fine sand" equate to 0.2 mm sized particles, to provide numeric terms for GIS or modeling purposes.

Conference Paper

Managing nutrients, water, and energy for producing more food with low pollution (MoFoLoPo); What would success look like?

Synthetic nitrogen (N) fertilizer has enabled modern agriculture to greatly improve human nutrition during the 20th century, but it has also created unintended human health and environmental pollution challenges for the 21st century. Averaged globally, about half of the fertilizer N applied to farms is removed with the crops, while the other half remains in the soil or is lost from farmers’ fields, resulting in water and air pollution. As human population continues to grow and food security improves in the developing world, the dual development goals of producing more nutritious food with low pollution will require both technological and socio-economic innovations in agriculture.

Environmental Development

A one-dimensional volcanic plume model for predicting ash aggregation

During explosive volcanic eruptions, volcanic ash is ejected into the atmosphere, impacting aircraft safety and downwind communities. These volcanic clouds tend to be dominated by fine ash (<63 μm in diameter), permitting transport over hundreds to thousands of kilometers. However, field observations show that much of this fine ash aggregates into clusters or pellets with faster settling velocities than individual particles. Models of ash transport and deposition require an understanding of aggregation processes, which depend on factors like moisture content and local particle collision rates. In this study, we develop a Plume Model for Aggregate Prediction, a one-dimensional (1D) volcanic plume model that predicts the plume rise height, concentration of water phases, and size distribution of resulting ash aggregates from a set of eruption source parameters. The plume model uses a control volume approach to solve mass, momentum, and energy equations along the direction of the plume axis. The aggregation equation is solved using a fixed pivot technique and incorporates a sticking efficiency model developed from analog laboratory experiments of particle aggregation within a novel turbulence tower. When applied to the 2009 eruption of Redoubt Volcano, Alaska, the 1D model predicts that the majority of the plume is over-saturated with water, leading to a high rate of aggregation. Although the mean grain size of the computed Redoubt aggregates is larger than the measured deposits, with a peak at 1 mm rather than 500 μm, the present results provide a quantitative estimate for the magnitude of aggregation in an eruption.

JGR Solid Earth

Regional magnetotelluric surveys in hydrocarbon exploration, Parana Basin, Brazil

The magnetotelluric geophysical method has been used effectively as a hydrocarbon exploration tool in the intracratonic Parana basin of South America. The Parana basin has an area of about 1,200,000 km 2 (463,000 mi 2 ), extending over portions of Brazil, Paraguay, Uruguay, Argentina, and Bolivia. The Paleozoic marine sedimentary rocks in the Parana basin are covered by the world's most extensive flood basalt complex, making geophysical exploration extremely difficult, although modern seismic techniques recently applied are achieving good results in some areas. The 1-2 km (3,300-6,600 ft) thick surface basalts and buried diabase sills pose no problem for the magnetotelluric method because the natural electromagnetic fields used as the energy source pass easily through the basalt. Data for the regional study were taken on six profiles with soundings spaced 8 to 15 km (5 to 9 mi) apart. The magnetotelluric sounding data outline a linear uplift known as the Ponta Grossa arch. This major structural feature cuts across the northeast-trending intracratonic basin almost perpendicularly, and is injected with numerous diabase dikes. Although its character is reasonably well known in the shallow, eastern parts of the basin, it is poorly delineated in the deeper parts of the basin where promising natural gas zones have been tested in several wells. In the survey area, MT interpretations show that basalts have aggregate thickness of as much as 2 km (6,600 ft), and basement may be as much as 6 km (20,000 ft) below the surface. Over most of the basin, the basalts are covered by Upper Cretaceous to Holocene continental sediments of a few hundred meters thickness and are underlain by 2 to 4 km (6,600 to 13,100 ft) thick Paleozoic sediments with possible hydrocarbon potential. The Ponta Grossa arch is interpreted to be the failed arm of a triple rift system that formed during the separation of the African and South American continents. Shales of the Devonian Ponta Grossa Formation are important Parana basin source rocks for hydrocarbons, as are several Permian units. Significant electrical contrasts occur between the Permian sediments and older units, so that magnetotelluric measurements can give an indication of the regional thickness of the Permian and younger sediments to aid in interpreting hydrocarbon migration patterns and possible trap areas.

Parana Basin

Defining ecological and economical hydropoweroperations: a framework for managing dam releasesto meet multiple conflicting objectives

Hydroelectric dams are a flexible source of power, provide flood control, and contribute to the economic growth of local communities through real-estate and recreation. Yet the impoundment of rivers can alter and fragment miles of critical riverine habitat needed for other competing needs such as downstream consumptive water use, fish and wildlife population viability, or other forms of recreation. Multiple conflicting interests can compromise progressive management especially with recognized uncertainties related to whether management actions will fulfill the objectives of policy makers, resource managers and/or facility owners. Decision analytic tools were used in a stakeholder-driven process to develop and implement a template for evaluation and prediction of the effects of water resource management of multiple-use systems under the context provided by R.L. Harris Dam on the Tallapoosa River, Alabama, USA. The approach provided a transparent and structured framework for decision-making and incorporated both existing and new data to meet multiple management objectives. Success of the template has been evaluated by the stakeholder governing body in an adaptive resource management framework since 2005 and is ongoing. Consequences of management of discharge at the dam were evaluated annually relative to stakeholder satisfaction to allow for adjustment of both management scenarios and objectives. This template can be applied to attempt to resolve conflict inherent in many dam-regulated systems where management decisions impact diverse values of stakeholders.

Journal of Energy Challenges and Mechanics

Preliminary methodology to assess the national and regional impact of U.S. wind energy development on birds and bats

The U.S. Geological Survey has developed a methodology to assess the impacts of wind energy development on wildlife; it is a probabilistic, quantitative assessment methodology that can communicate to decision makers and the public the magnitude of these effects on species populations. The methodology is currently applicable to birds and bats, focuses primarily on the effects of collisions, and can be applied to any species that breeds in, migrates through, or otherwise uses any part of the United States. The methodology is intended to assess species at the national scale and is fundamentally different from existing methods focusing on impacts at individual facilities. Publicly available fatality information, population estimates, species range maps, turbine location data, biological characteristics, and generic population models are used to generate both a ranked list of species based on relative risk as well as quantitative measures of the magnitude of the effect on species' population trend and size. Three metrics are combined to determine direct and indirect relative risk to populations. A generic population model is used to estimate the expected change in population trend and includes additive mortality from collisions with wind turbines. Lastly, the methodology uses observed fatalities and an estimate of potential biological removal to assess the risk of a decline in population size. Data for six bird species have been processed through the entire methodology as a test case, and the results are presented in this report. Components of the methodology are based on simplifying assumptions and require information that, for many species, may be sparse or unreliable. These assumptions are presented in the report and should be carefully considered when using output from the methodology. In addition, this methodology can be used to recommend species for more intensive demographic modeling or highlight those species that may not require any additional protection because effects of wind energy development on their populations are projected to be small.

Scientific Investigations Report

Balancing fish-energy-cost tradeoffs through strategic basin-wide dam management

Dam management often involves tradeoffs among hydropower generation capacity, environmental impacts, and project costs. However, our understandings of such tradeoffs under a full range of dam management options remain limited, which hinders our ability to make sound and scientifically defensible dam management decisions. In order to assess the scope for theoretical tradeoffs, a dynamic model of hydropower production, important fish populations, and project costs was developed using the system dynamics modeling technique. Three dam management options investigated the likely outcomes from: dam removal, fishway installation (e.g., pool-and-weir, Denil, and fish lift), and no action. The model was applied to the Penobscot River located in Maine, United States as a proof of concept, where recent actions (i.e., dam removal and fishway construction) have been undertaken. We modeled theoretical influence of these actions on four significant sea-run fish (alewife Alosa pseudoharengus , American shad Alosa sapidissima , Atlantic salmon Salmo salar , and sea lamprey Petromyzon marinus ) by developing an index of spawner population potential based on population models for each species. Optimal dam management solutions may maximize spawner population potential and energy production to 60-62% of maximum achievable values while limiting the project cost to US$17 million (44% of the maximum value). Our results demonstrate that basin-scale management strategies may increase the migratory fish restoration while preserving hydropower generation capacity. Diversification of management options (e.g., combination of fishway installations, dam removals, and generation capacity) may increase the efficacy of strategic fish-energy-cost tradeoffs.

Maine

Assessment of liquefaction potential during earthquakes by Arias intensity

An Arias intensity approach to assess the liquefaction potential of soil deposits during earthquakes is proposed, using an energy-based measure of the severity of earthquake-shaking recorded on seismograms of the two horizontal components of ground motion. Values representing the severity of strong motion at depth in the soil column are associated with the liquefaction resistance of that layer, as measured by in situ penetration testing (SPT, CPT). This association results in a magnitude-independent boundary that envelopes initial liquefaction of soil in Arias intensity-normalized penetration resistance space. The Arias intensity approach is simple to apply and has proven to be highly reliable in assessing liquefaction potential. The advantages of using Arias intensity as a measure of earthquake-shaking severity in liquefaction assessment are: Arias intensity is derived from integration of the entire seismogram wave form, incorporating both the amplitude and duration elements of ground motion; all frequencies of recorded motion are considered; and Arias intensity is an appropriate measure to use when evaluating field penetration test methodologies that are inherently energy-based. Predictor equations describing the attenuation of Arias intensity as a function of earthquake magnitude and source distance are presented for rock, deep-stiff alluvium, and soft soil sites.

Journal of Geotechnical and Geoenvironmental Engin

HyWaves: Hybrid downscaling of multimodal wave spectra to nearshore areas

Long-term and accurate wave hindcast databases are often required in different coastal engineering projects. The assessment of the nearshore wave climate is often accomplished by using downscaling techniques to translate offshore waves to coastal areas. However, dynamical downscaling approaches may incur huge computational cost. Additionally, the common use of bulk parameterizations are often not accurate for multidimensional waves. To overcome these limitations, we present a hybrid downscaling approach that combines mathematical algorithms (statistical downscaling) and numerical modeling (dynamical downscaling) over the individual spectral partitions. Every wave partition is downscaled and aggregated afterward by using principles of wave linear theory. By assuming linearity in the propagation of the wave celerity, the application of the method is limited from offshore to intermediate water depths. In addition, the method proposed uses a technique to simplify the spectral boundary conditions in complex domains. The methodology has been applied and validated in the island states of Samoa, American Samoa, Majuro, and Kwajalein, showing good skill at reproducing the spectral hourly time series of significant wave height, peak period, and peak direction. Moreover, an accurate representation of the observed energy spectrum was achieved. This study provides insight into the numerical approximation of the combined sea-swell states while improving the quality of fast spectral forecasting and early warning systems.

Ocean Modeling

The information content of high-frequency seismograms and the near-surface geologic structure of "hard rock" recording sites

Due to hardware developments in the last decade, the high-frequency end of the frequency band of seismic waves analyzed for source mechanisms has been extended into the audio-frequency range (>20 Hz). In principle, the short wavelengths corresponding to these frequencies can provide information about the details of seismic sources, but in fact, much of the "signal" is the site response of the nearsurface. Several examples of waveform data recorded at "hard rock" sites, which are generally assumed to have a "flat" transfer function, are presented to demonstrate the severe signal distortions, including fmax, produced by near-surface structures. Analysis of the geology of a number of sites indicates that the overall attenuation of high-frequency (>1 Hz) seismic waves is controlled by the whole-path-Q between source and receiver but the presence of distinct fmax site resonance peaks is controlled by the nature of the surface layer and the underlying near-surface structure. Models of vertical decoupling of the surface and nearsurface and horizontal decoupling of adjacent sites on hard rock outcrops are proposed and their behaviour is compared to the observations of hard rock site response. The upper bound to the frequency band of the seismic waves that contain significant source information which can be deconvolved from a site response or an array response is discussed in terms of fmax and the correlation of waveform distortion with the outcrop-scale geologic structure of hard rock sites. It is concluded that although the velocity structures of hard rock sites, unlike those of alluvium sites, allow some audio-frequency seismic energy to propagate to the surface, the resulting signals are a highly distorted, limited subset of the source spectra. ?? 1988 Birkha??user Verlag.

Pure and Applied Geophysics PAGEOPH