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At least 235 records · Page 13Linked to original sources

Summary appraisals of the Nation's ground-water resources; Texas Gulf region

Ground water in the Texas-Gulf Region is a large and important resource that can provide a more significant percentage of the total water supply of the region. Total water requirements within the region are projected to rise sharply from 14 million acre-feet (17 cubic kilometres) in 1970 to nearly 26 million acre-feet (32.cubic kilometres) in 2020. About half of the water used in 1970 was ground water. An estimated total of 1.04 billion acre-feet (1,280 cubic kilometres) of recoverable water containing less than 3,000 milligrams per litre dissolved solids is stored above a depth of 400 feet (122 metres) in the aquifers of the region. In addition, part of an estimated 3.28 billion acre-feet (4,040 cubic kilometres) of water in storage below 400 feet (122 metres) is recoverable. Although not all of the ground water in storage is recoverable, a significant amount is available for development, and an enormous quantity is accessible should occasions prompt its use on a time-limited basis. The total steady-state yield (amount of water that approximates the maximum perennial replenishment from precipitation) of the region's aquifers is about 4.6 million acre-feet (5.7 cubic kilometres) annually, or about 2.3 times the ground-water usage in 1970 if the large mining draft on the High Plains is not considered as part of the total steady-state yield. Because of the large quantity of recoverable ground water in storage, the steady-state yield can be augmented for a very long time on a 'deferred' basis, whereby the economic use of the water that is withdrawn from storage in excess of the steady-state yield may result in a strengthened economy. An important goal in programs for meeting future water needs should be to identify the full potential of the available ground-water resources. The subsurface reservoirs may be utilized not only as sources of fresh and treatable water, but as storage facilities for other fresh-water-supplies and as possible sources of geothermal energy. Some saline-water reservoirs may be suitable for liquid-waste storage or disposal. Large-scale and unregulated ground-water pumping may result in hydrologic problems such as declining water levels, streamflow depletion, and land-surface subsidence; but studies on proper development of the groundwater reservoirs could provide solutions to many of the problems. Water rights and other legal concepts should be based on sound hydrologic principles to assist development of water resources in an orderly and efficient manner. Because significant amounts of ground water are available, the opportunities for expanded and conjunctive use of ground water and surface water should be considered in regional plans for water development and conservation. The complexities of water management and the difficulties of achieving an integrated system of total water management will require additional technical information.

Louisiana, New Mexico, Texas

High-resolution seismic-reflection profiling data from the inner continental shelf of southeastern Massachusetts

Six hundred-seventy kilometers of closely spaced high-resolution seismic-­reflection data have been collected from eastern Rhode Island Sound and Vineyard Sound, Mass, by the U.S. Geological Survey in cooperation with the Massachusetts Department of Public Works. These data were obtained during the June 1975 cruise of the R/V ASTERIAS as part of a continuing regional study of the Massachusetts offshore area to assess potential mineral resources, to evaluate environmental impact of mining of resources and of offshore disposal of solid waste and harbor dredge-spoil materials, and to map the offshore geology and shallow structure. The data were obtained by using a surface-towed EG&G Unit Pulse Boomer* (300 joules: 400 Hz-8kHz frequency) sound source. Reflected acoustic energy was detected by a 4.6-m, a-element hydrophone array, was amplified, was actively filtered (400 Hz-4kHz bandpass), and was graphically displayed on an EPC* dry paper recorder at a 0.25-second sweep rate. System resolution was generally 1 to 1.5 m. Navigational control was provided by Loran C (posi­tional accuracy within 0.2 km) and was supplemented by radar and visual fixes. Positional information was logged at 15-minute intervals and at major course changes. The original records may be examined at the Data Library, U.S. Geological Survey, Woods Hole, MA 02543. Microfilm copies of the data are available for purchase from the National Geophysical and Solar-Terrestrial Data Center (NGSDC), Boulder, CO 80302.

Open-File Report

Cenozoic volcanic rocks of Saudi Arabia

The Cenozoic volcanic rocks of Saudi Arabia cover about 90,000 km 2 , one of the largest areas of alkali olivine basalt in the world. These volcanic rocks are in 13 separate fields near the eastern coast of the Red Sea and in the western Arabian Peninsula highlands from Syria southward to the Yemen Arab Republic. The initial phase of rifting of the Arabian Plate from the African Plate began as a wide zone of continental-crust extension manifested by basin and range topography. Freshwater lakes, northwest-trending marine gulfs, and alkali olivine basalt flows occupied these basins. Extensive dike swarms intruded parallel to the proto-Red Sea and marked the first phase of new mafic crust formed by volcanic processes. After a hiatus in volcanic activity, counterclockwise rotation of the Arabian Plate during middle Miocene time changed the stress pattern in the plate and a second phase of extrusion of alkali olivine basalt commenced along north-trending fractures. This stress pattern continues to influence Holocene volcanism. The earliest (pre-uplift) basalts to erupt on the Arabian Plate were predominantly undersaturated picrite and ankaramite, whereas those to erupt near the axis of the proto-Red Sea rift zone were tholeiite. The within-plate volcanic rocks evolved from picrite-ankaramite to alkali olivine basalt with minor volumes of fractionated, undersaturated felsic rocks. Continued crustal thinning and dike intrusion along the proto-Red Sea were accompanied by melting of the continental crust to produce silicic magma as part of a bimodal volcanic suite (tholeiite-rhyolite). These magmas were emplaced as dikes, sills, layered bodies, and flows that mark the early construction of the Red Sea crust. Second-phase lavas are predominantly fractionated hawaiites and alkali olivine basalts. Because undersaturated and oversaturated silicic magmas represent the second phase of activity, both fractional crystallization of the basaltic magma and melting of the crust are believed to have occurred. The historical record of volcanic activity in Saudi Arabia suggests that volcanism is dormant. The harrats should be evaluated for their potential as volcanic hazards and as sources of geothermal energy. The volcanic rocks are natural traps for groundwater; thus water resources for agriculture may be significant and should be investigated.

Open-File Report

Summary appraisals of the nation's ground-water resources–Texas-Gulf region

Ground water in the Texas-Gulf Region is a large and important resource that can provide a more significant percentage of the total water supply of the region. Total water requirements within the region are projected to rise sharply from 14 million acre-feet (17 cubic kilometres) in 1970 to nearly 26 million acre-feet (32 cubic kilometres) in 2020. About half of the water used in 1970 was ground water. An estimated total of 1.04 billion acre-feet (1,280 cubic kilometres) of recoverable water containing less than 3,000 milligrams per litre dissolved solids is stored above a depth of 400 feet (122 metres) in the aquifers of the region. In addition, part of an estimated 3.28 billion acre-feet (4,040 cubic kilometres) of water in storage below 400 feet (122 metres) is recoverable. Although not all of the ground water in storage is recoverable, a significant amount is available for development; and an enormous quantity is accessible should occasions prompt its use on a time-limited basis. The total steady-state yield (amount of water that approximates the maximum perennial replenishment from precipitation) of the region's aquifers is about 4.6 million acre-feet (5.7 cubic kilometres) annually, or about 2.3 times the ground-water usage in 1970 if the large mining draft on the High Plains is not considered as part of the total steady-state yield. Because of the large quantity of recoverable groundwater in storage, the steady-state yield can be augmented for a very long time on a "deferred" basis, whereby the economic use of the water that is withdrawn from storage in excess of the steady-state yield may result in a strengthened economy. An important goal in programs for meeting future water needs should be to identify the full potential of the available ground-water resources. The subsurface reservoirs may be utilized not only as sources of fresh and treatable water, but as storage facilities for other freshwater supplies and as possible sources of geothermal energy. Some saline-water reservoirs may be suitable for liquid-waste storage or disposal. Large-scale and unregulated ground-water pumping may result in hydrologic problems such as declining water levels, streamflow depletion, and land-surface subsidence; but studies on proper development of the ground-water reservoirs could provide solutions to many of the problems. Water rights and other legal concepts should be based on sound hydrologic principles to assist development of water resources in an orderly and efficient manner. Because significant amounts of ground water are available, the opportunities for expanded and conjunctive use of ground water and surface water should be considered in regional plans for water development and conservation. The complexities of water management and the difficulties of achieving an integrated system of total-water management will require additional technical information.

Louisiana, New Mexico, Texas

Results from the apollo-12 passive seismic experiment

The objective of the passive seismic experiment is to measure vibrations of the lunar surface produced by all natural and artificial sources of seismic energy and to use these data to deduce the internal structure and composition of the moon, the nature of forces which may cause deformation of the moon and moonquakes, and the numbers and masses of meteoroids striking the lunar surface. The ALSEP* seismometers can magnify lunar surface vibrations 10 million times. No instrument can operate on earth with this sensitivity, because weather and man produce too much seismic noise. To obtain answers to the above questions, seismic data must be combined with data from laboratory measurements of the physical and chemical properties of surface rocks, and many other geophyiscal and geochemical measurements. Thus far, we have had the opportunity to record data from two lunar seismic stations which were installed by the astronauts during Apollo misions and 12. The combined recording time from the stations is presently over 12 months, but there was no overlap to permit recording of the same event at two stations.

Earthquake Information Bulletin (USGS)

Sierra Nevada plutonic cycle: Part II, tidal energy and a hypothesis for orogenic-epeirogenic periodicities

The dissipative power of the solid earth tides is the order of 10 19 ergs/sec, or a few percent of terrestrial heat flow. It is proposed that this energy is concentrated along oceanic ridge systems and in the asthenosphere by mechanisms of viscous dissipation involving shear melting. Tidal energy localizes and sustains sources of sea-floor spreading through the melting mechanism, convection and magmatic transfer. Components of this energy enter the continent as magmatic heat either where ridge type sources and continents interact or where lateral motions induce shear zones and viscous dissipation within the continent. Temporal maxima of igneous intrusion into continental crust and related epeirogenic oscillations, spaced at intervals of about 30 m.y., are explained in terms of periodic thermal instabilities in the process of shear melting in the mantle. That is, maxima in rates of magma production in the mantle are relieved by vertical magmatic transfer. This process is coupled with lateral motions of the continent in a way analogous to episodic creep episodes of much shorter period in motions of active fault systems. Calculated periodicities are found to be simultaneously compatible with (l) the Sierra Nevada intrusive epochs of Part I, (2) oscillations in the eustatic curve during the Mesozoic Era, (3) concepts of sea-floor spreading, and (4) the magnitude of tidal power. More profound epeirogenic oscillations, having periods of about 200 m.y., are induced by variations in proportioning of tidal energy dissipation between the solid earth and the epicontinental seas. Thus, the tidal deformations of the earth provide information that leads to a general dynamic theory where magmatism, orogency, epeirogeny, sea-floor spreading and continent migration are systematically interrelated.

California

Theoretical life history responses of juvenile Oncorhynchus mykiss to changes in food availability using a dynamic state-dependent approach

Marine subsidies can play an important role in the growth, survival, and migratory behavior of rearing juvenile salmonids. Availability of high-energy, marine-derived food sources during critical decision windows may influence the timing of emigration or the decision to forego emigration completely and remain in the freshwater environment. Increasing growth and growth rate during these decision windows may result in an altered juvenile population structure, which will ultimately affect the adult population age-structure. We used a state dependent model to understand how the juvenile Oncorhynchus mykiss population structure may respond to increased availability of salmon eggs in their diet during critical decision windows. Our models predicted an increase in smolt production until coho salmon eggs comprised more than 50 percent of juvenile O. mykiss diet at the peak of the spawning run. At higher-than intermediate levels of egg consumption, smolt production decreased owing to increasing numbers of fish adopting a resident life-history strategy. Additionally, greater growth rates decreased the number of age-3 smolts and increased the number of age-2 smolts. Increased growth rates with higher egg consumption also decreased the age at which fish adopted the resident pathway. Our models suggest that the introduction of a high-energy food source during critical periods of the year could be sufficient to increase smolt production.

Open-File Report

U.S. Geological Survey—Energy and wildlife research annual report for 2017

Introduction Terrestrial and aquatic ecosystems provide valuable services to humans and are a source of clean water, energy, raw materials, and productive soils. The Nation’s food supply is more secure because of wildlife. For example, native pollinators enhance agricultural crops, and insect-eating bats provide pest control services worth billions of dollars to farmers annually. Fish and wildlife are also vital to a vibrant outdoor recreation and tourism industry. Recreational activities, such as hunting, shooting, boating, and angling, generated \$1.1 billion in excise taxes paid to State wildlife agencies in 2017. National parks, wildlife refuges, and monuments accounted for $35 billion in economic output and 318,000 jobs nationwide in 2016. Additional economic benefits are generated from the use and enjoyment of wildlife in State-owned lands and waters. Although the United States is rich in natural resources, human activity continues to place new pressures on fish and wildlife and the habitats they rely on. The United States became the world’s top producer of petroleum and natural gas products in 2012, surpassing Russia’s natural gas production levels in 2009 and Saudi Arabia’s petroleum production in 2013. The U.S. Energy Information Administration projects that the demand for liquid fuel, natural gas, and renewable energy will show strong growth in the next 20 years. Wind energy has demonstrated consistent growth since 2007 with now more than 53,000 wind turbines contributing to power grids in 41 States, Guam, and Puerto Rico. Solar energy has seen rapid growth since 2013 and made up nearly one-third of the total electricity generation additions in 2016. Yet as our Nation works to advance energy security and sustain wildlife, some conflicts have surfaced. Impacts of an expanding energy infrastructure include fragmentation and loss of habitat as well as mortality of birds, bats, fish, and other animals from interactions with energy generation facilities. Because energy development can often occur in wildlife habitats, ecological science can help guide project siting and operational decisions to areas that present the lowest risk to wildlife and energy developers. To address these challenges and make the most of new opportunities, the U.S. Geological Survey is producing innovative science to develop workable solutions that can help sustain wildlife and the habitat they rely upon, while allowing informed development.

Circular

Energy map of southwestern Wyoming, Part A - Coal and wind

To further advance the objectives of the Wyoming Landscape Conservation Initiative (WLCI) the U.S. Geological Survey (USGS) and the Wyoming State Geological Survey (WSGS) have compiled Part A of the Energy Map of Southwestern Wyoming. Focusing primarily on electrical power sources, Part A of the energy map is a compilation of both published and previously unpublished coal (including coalbed gas) and wind energy resources data, presented in a Geographic Information System (GIS) data package. Energy maps, data, documentation and spatial data processing capabilities are available in a geodatabase, published map file (pmf), ArcMap document (mxd), Adobe Acrobat PDF map (plate 1) and other digital formats that can be downloaded at the USGS website. Accompanying the map (plate 1) and the geospatial data are four additional plates that describe the geology, energy resources, and related infrastructure. These tabular plates include coal mine (plate 2), coal field (plate 3), coalbed gas assessment unit (plate 4), and wind farm (plate 5) information with hyperlinks to source publications and data on the internet. The plates can be printed and examined in hardcopy, or accessed digitally. The data represent decades of research by the USGS, WSGS, BLM and others, and can facilitate landscape-level science assessments, and resource management decisionmaking.

Wyoming

The source of infrasound associated with long-period events at mount St. Helens

During the early stages of the 2004-2008 Mount St. Helens eruption, the source process that produced a sustained sequence of repetitive long-period (LP) seismic events also produced impulsive broadband infrasonic signals in the atmosphere. To assess whether the signals could be generated simply by seismic-acoustic coupling from the shallow LP events, we perform finite difference simulation of the seismo-acoustic wavefield using a single numerical scheme for the elastic ground and atmosphere. The effects of topography, velocity structure, wind, and source configuration are considered. The simulations show that a shallow source buried in a homogeneous elastic solid produces a complex wave train in the atmosphere consisting of P/SV and Rayleigh wave energy converted locally along the propagation path, and acoustic energy originating from , the source epicenter. Although the horizontal acoustic velocity of the latter is consistent with our data, the modeled amplitude ratios of pressure to vertical seismic velocity are too low in comparison with observations, and the characteristic differences in seismic and acoustic waveforms and spectra cannot be reproduced from a common point source. The observations therefore require a more complex source process in which the infrasonic signals are a record of only the broadband pressure excitation mechanism of the seismic LP events. The observations and numerical results can be explained by a model involving the repeated rapid pressure loss from a hydrothermal crack by venting into a shallow layer of loosely consolidated, highly permeable material. Heating by magmatic activity causes pressure to rise, periodically reaching the pressure threshold for rupture of the "valve" sealing the crack. Sudden opening of the valve generates the broadband infrasonic signal and simultaneously triggers the collapse of the crack, initiating resonance of the remaining fluid. Subtle waveform and amplitude variability of the infrasonic signals as recorded at an array 13.4 km to the NW of the volcano are attributed primarily to atmospheric boundary layer propagation effects, superimposed upon amplitude changes at the source.

Washington

Hydrogeologic framework of the uppermost principal aquifer systems in the Williston and Powder River structural basins, United States and Canada

The glacial, lower Tertiary, and Upper Cretaceous aquifer systems in the Williston and Powder River structural basins within the United States and Canada are the uppermost principal aquifer systems and most accessible sources of groundwater for these energy-producing basins. The glacial aquifer system covers the northeastern part of the Williston structural basin. The lower Tertiary and Upper Cretaceous aquifer systems are present in about 91,300 square miles (mi 2 ) of the Williston structural basin and about 25,500 mi 2 of the Powder River structural basin. Directly under these aquifer systems are 800 to more than 3,000 feet (ft) of relatively impermeable marine shale that serves as a basal confining unit. The aquifer systems in the Williston structural basin have a shallow (less than 2,900 ft deep), wide, and generally symmetrical bowl shape. The aquifer systems in the Powder River structural basin have a very deep (as much as 8,500 ft deep), narrow, and asymmetrical shape. The Williston structural basin has been an important oil and natural gas producing region since the 1950s, and production has increased substantially since the mid-2000s due to improved drilling and hydraulic fracturing methods from deep formations, such as the Bakken and Three Forks Formations. These improved methods require considerable volumes of freshwater mostly from shallow aquifers or surface water. Coal, lignite, and coal-bed natural gas are additional sources of energy in both basins that can affect the quality and quantity of shallow aquifers through strip mining and groundwater depletion. In 2011, the U.S. Geological Survey initiated a regional study of the glacial, lower Tertiary, and Upper Cretaceous aquifer systems in the Williston and Powder River structural basins with the goal to quantify groundwater availability. This report, together with a companion report of the conceptual flow model, provides an improved understanding of the groundwater flow systems and a basis for a numerical, regional groundwater-flow model. This study combines the lithostratigraphic units of the glacial, lower Tertiary, and Upper Cretaceous aquifer systems in the United States and Canada into 7 regional hydrogeologic units—glacial deposits, 4 bedrock aquifers, and 2 bedrock confining units—using general hydraulic properties. The glacial deposits are composed of till and glacial outwash sands and gravels with areas of cobbles and boulders. The four bedrock aquifers are the upper Fort Union, lower Fort Union, lower Hell Creek, and Fox Hills aquifers and are contained primarily in sandstone layers. The two confining units are the middle Fort Union hydrogeologic unit (shale) and upper Hell Creek hydrogeologic unit (contains less sandstone than the underlying lower Hell Creek aquifer). Water from hydrogeologic units in these three aquifer systems is relatively fresh and potable, whereas withdrawals seldom occur from units below the basal confining unit because of great depths (greater than 800 ft) and poor water quality. Analysis of about 300 electric (resistivity) and lithologic logs in the Williston structural basin and numerous existing publications for the Powder River structural basin were used to develop a three-dimensional hydrogeologic framework for both basins. Interpolated thicknesses of the glacial deposits, the lower Tertiary aquifer system, and the Upper Cretaceous aquifer system in the Williston structural basin are less than about 750; 2,250; and 1,050 ft, respectively. Interpolated thicknesses of the lower Tertiary aquifer system and the Upper Cretaceous aquifer system in the Powder River structural basin are less than about 7,180 and 5,070 ft, respectively. Interpolated horizontal hydraulic conductivity values for the Williston structural basin were as much as 25 feet per day (ft/d) in the glacial deposits and had smaller ranges in the lower Tertiary aquifer system (0.01–9.8 ft/d) and in the Upper Cretaceous aquifer system (0.06–5.5 ft/d). In the Powder River structural basin, the lower Tertiary aquifer system had a greater range of interpolated horizontal hydraulic conductivity values (0.10–11 ft/d) than the Upper Cretaceous aquifer system (0.02–5.7 ft/d). Transmissivity is greatest in the gravel zones of the glacial deposits (2,120 feet squared per day) and generally decreases with depth into the bedrock units. Regionally, water in the lower Tertiary and Upper Cretaceous aquifer systems flows in a northerly or northeasterly direction from the Powder River structural basin to the Williston structural basin. Groundwater flow in the Williston structural basin generally is easterly or northeasterly. Flow in the uppermost hydrogeologic units generally is more local and controlled by topography where unglaciated in the Williston structural basin than is flow in the glaciated part and in underlying aquifers. Groundwater flow in the Powder River structural basin generally is northerly with local variations greatest in the uppermost aquifers. Groundwater is confined, and flow is regional in the underlying aquifers.

Powder River Basin;Williston Basin

Assessment of two nonnative poeciliid fishes for monitoring selenium exposure in the endangered desert pupfish

We assessed the suitability of two nonnative poeciliid fishes—western mosquitofish ( Gambusia affinis ) and sailfin mollies ( Poecilia latipinna )—for monitoring selenium exposure in desert pupfish ( Cyprinodon macularius ). Our investigation was prompted by a need to avoid lethal take of an endangered species (pupfish) when sampling fish for chemical analysis. Total selenium (SeTot) concentrations in both poeciliids were highly correlated with SeTot concentrations in pupfish. However, mean SeTot concentrations varied among fish species, with higher concentrations measured in mosquitofish than in mollies and pupfish from one of three sampled agricultural drains. Moreover, regression equations describing the relationship of selenomethionine to SeTot differed between mosquitofish and pupfish, but not between mollies and pupfish. Because selenium accumulates in animals primarily through dietary exposure, we examined fish trophic relationships by measuring stable isotopes ( δ 13 C and δ 15 N) and gut contents. According to δ 13 C measurements, the trophic pathway leading to mosquitofish was more carbon-depleted than trophic pathways leading to mollies and pupfish, suggesting that energy flow to mosquitofish originated from allochthonous sources (terrestrial vegetation, emergent macrophytes, or both), whereas energy flow to mollies and pupfish originated from autochthonous sources (filamentous algae, submerged macrophytes, or both). The δ 15 N measurements indicated that mosquitofish and mollies occupied similar trophic levels, whereas pupfish occupied a slightly higher trophic level. Analysis of gut contents showed that mosquitofish consumed mostly winged insects (an indication of terrestrial taxa), whereas mollies and pupfish consumed mostly organic detritus. Judging from our results, only mollies (not mosquitofish) are suitable for monitoring selenium exposure in pupfish.

Water, Air, & Soil Pollution

Potential effects of energy development on environmental resources of the Williston Basin in Montana, North Dakota, and South Dakota—Water resources

The Williston Basin has been a leading oil and gas producing area for more than 50 years. While oil production initially peaked within the Williston Basin in the mid-1980s, production rapidly increased in the mid-2000s, largely because of improved horizontal (directional) drilling and hydraulic fracturing methods. In 2012, energy development associated with the Bakken Formation was identified as a priority requiring collaboration toward improved timeliness of issuing permits for new wells combined with reasonable measures to maintain environmental quality. Shortly thereafter, the Bakken Federal Executive Group was created to address common challenges associated with energy development. The Bakken Federal Executive Group partner agencies identified a gap in current understanding of the cumulative environmental challenges attributed to energy development throughout the area, resulting in an effort to aggregate scientific data and identify additional research and information needs related to natural resources within areas of energy development in the Williston Basin. As part of this effort, water resources in the area (including groundwater; streams and rivers; and lakes, reservoirs, and wetlands) were characterized and described in terms of physical occurrence, flow characteristics, recharge, water quality, and water use. Similarly, waters produced during energy-development activities also were characterized even though these waters are not considered usable resources within the area. Groundwater resources were characterized by the major hydrogeologic units, or aquifers, identifying the units that supply most groundwater used for domestic, stock, agricultural, and industrial purposes. The groundwater characterization included other deeper hydrogeologic units in the Williston Basin that may be a useable source of water with treatment, have utility as a reservoir for reinjection of produced waters, or be a source of minerals and energy resources. A generalized groundwater budget and flow system identifying the sources of recharge (stream infiltration, precipitation, and movement [leakage] from other aquifers) and the general groundwater flow direction is included for each of the major hydrogeologic units. Rivers and streams within the Williston Basin with 10 or more years of continuous streamflow data were identified. For a subset of these sites, streamflow characteristics, including the monthly and annual mean flow, were generated to identify seasonal and interannual changes in streamflow and thus provide information on the drivers and reliability of streamflow at the seasonal or multiyear scale. Daily streamflow and annual extreme flows (peak and low flow) also were estimated for the subset of sites. The daily streamflow and annual extreme flow values provide information on short-term or extreme events that are relevant to infrastructure design and evaluating spills, leaks, or accidental discharges of water or petroleum products. Surface-water features (lakes, ponds, and wetlands) were classified using the Cowardin system and identified on the National Wetlands Inventory maps generated by the U.S. Fish and Wildlife Service. The spatial distribution of the surface-water features was analyzed by State, county, and specifically in comparison to the Prairie Pothole Region. The proximity of the surface-water features to energy development infrastructure (specifically oil or gas well pads) was evaluated. It was determined that, although oil or gas wells are often near a surface-water feature, most surface-water features do not have wells nearby, with the exception of wells in the Prairie Pothole Region. Water-quality data were aggregated from two data sources: (1) the Water-Quality Portal, sponsored by the U.S. Geological Survey (USGS), U.S. Environmental Protection Agency (EPA), and National Water Quality Monitoring Council; and (2) a data compilation completed as part of the USGS National Water-Quality Assessment project. The Water-Quality Portal integrates publicly available water-quality data from databases maintained by the USGS, EPA, and U.S. Department of Agriculture, including water-quality data from Tribal, State, and local databases. Water-quality data for 15 commonly measured water-quality constituents were aggregated for groundwater, rivers and streams, and lakes and reservoirs. For each aggregated dataset (groundwater, rivers and streams, and lakes and reservoirs), analyses of the water-quality data included summary statistics, maps of spatial distribution of constituent values, boxplots of constituent values by timeframe or hydrogeologic unit, spatial comparisons of site locations and constituent values to petroleum well density, and comparisons of the constituent values measured to EPA drinking-water standards/guidelines. Produced water includes all fluids brought to the surface along with the targeted hydrocarbons as part of the oil and gas exploration and extraction processes. These fluids may include formation water (waters that co-exist with rock/oil/gas), hydraulic fracturing fluids, and other combinations of water and chemicals used during oil and gas well drilling, development, treatments, recompletions, and workovers. Produced water datasets were aggregated from two sources: the USGS National Produced Waters Geochemical database (ver. 2.1) and a series of projects focused specifically on sampling produced water in the Williston Basin from 2010 to 2014. The National Produced Waters Geochemical database was useful for a general understanding of produced-water chemistry. Produced waters are characterized by extreme salinity and contain elevated concentrations of other constituents (including arsenic, barium, cadmium, lead, zinc, radium-226/radium-228, and ammonium) that could negatively affect water and aquatic resources if released. Produced waters also have a generally unique chemical (isotopic) signature that may be useful in tracking water from different geologic units; for example, the oxygen/deuterium and strontium ratio values measured in brine waters from the Bakken Formation are distinct from brines collected from other geologic units in the Williston Basin. Water-use information related to energy production in the area also was aggregated and summarized. The summary of water use is not limited to oil and gas production but includes water used to produce all types of energy resources in the Williston Basin, including coal/lignite, thermoelectric power, oil and gas, hydropower, biomass and biofuels, wind, geothermal, and solar. Each State has its own methods for regulating and reporting water usage within its jurisdiction. These methods can introduce problems when examining water use from sources, such as the Missouri River or Fox Hills aquifer, that are shared across political boundaries. Without the one-to-one match for usage types and amounts used from a water source, it is difficult to develop a comprehensive water budget for the water source being evaluated. A large amount of freshwater is required to prepare a well for oil and gas well production; in some cases, 3 to 7 million gallons of water are needed per well. The EPA estimates that hydraulic fracturing in the Williston Basin uses between 70 to 140 billion gallons per year. Water also is used for myriad other purposes related to ancillary oil and gas extraction. In addition to water used for immediate energy development, the expanded human workforce migrating into the area and other support staff who have moved into the area during the development also use water. Research and information needs were identified that could be relevant in the evaluation of the effects of energy development on water resources. Information needs related to the evaluation of groundwater resources include the following: improved potentiometric-surface maps for glacial units; availability of a uniform stream network digital geographic coverage that spans the international boundary with Canada; enhanced surface-water use information with regards to the gain and loss of streamflow to shallow groundwater, which would increase understanding groundwater and surface-water interactions; and expanded geophysical assessments. Gaps in the availability of streamflow data include the lack of information on ice-jam flooding despite potential for effects to infrastructure (pipelines, roads, and facilities) and an understanding of the cumulative effects of largely undocumented stock and diversion dams. Although this study resulted in the aggregation of a large quantity of water-quality data, the availability of consistently collected, systematically processed and reported data over large parts of the Williston Basin is sparse. Few samples have been analyzed for constituents that may indicate the effect of energy development on water resources. Constituents that could be considered include boron, chloride, bromide, iodine, fluoride, manganese, lithium, radium, strontium isotopes, volatile organic compounds, and isotopes of inorganic ions (such as hydrogen and carbon). Collaboration between Tribal, Federal, State, and local entities to identify a common study design, common monitoring constituents, and consistent sampling locations would generate datasets with broad utility and would likely result in overall cost savings for monitoring over time. Similarly, there is a need for standardized sample collection, processing, laboratory analytical methods, and the collection of ancillary data for produced waters sampling. Additional characterization of the range of chemical, microbial, and isotopic compositions and quantities of “end-member” produced waters, and the collection of time-series datasets to document the changes in produced waters during and after well development also were needs identified during this study. Water-use estimates would be improved through the implementation of comprehensive studies of water use from groundwater and surface-water sources using consistent methodologies across the Williston Basin. The submission of chemical and water data related to hydraulic fracturing collected by the oil and gas industry would add to the quantity of available data. Consistent implementation of regulations and monitoring controls across political boundaries (State, county, and international) would further improve the consistency of data available for the estimates of water use.

Montana, North Dakota, South Dakota

Generalist feeding strategies in Arctic freshwater fish: A mechanism for dealing with extreme environments

Generalist feeding strategies are favoured in stressful or variable environments where flexibility in ecological traits is beneficial. Species that feed across multiple habitat types and trophic levels may impart stability on food webs through the use of readily available, alternative energy pools. In lakes, generalist fish species may take advantage of spatially and temporally variable prey by consuming both benthic and pelagic prey to meet their energy demands. Using stomach content and stable isotope analyses, we examined the feeding habits of fish species in Alaska's Arctic Coastal Plain (ACP) lakes to determine the prevalence of generalist feeding strategies as a mechanism for persistence in extreme environments (e.g. low productivity, extreme cold and short growing season). Generalist and flexible feeding strategies were evident in five common fish species. Fish fed on benthic and pelagic (or nektonic) prey and across trophic levels. Three species were clearly omnivorous, feeding on fish and their shared invertebrate prey. Dietary differences based on stomach content analysis often exceeded 70%, and overlap in dietary niches based on shared isotopic space varied from zero to 40%. Metrics of community‐wide trophic structure varied with the number and identity of species involved and on the dietary overlap and niche size of individual fishes. Accumulation of energy from shared carbon sources by Arctic fishes creates redundancy in food webs, increasing likely resistance to perturbations or stochastic events. Therefore, the generalist and omnivorous feeding strategies employed by ACP fish may maintain energy flow and food web stability in extreme environments.

Ecology of Freshwater Fish

Differences in tsunami generation between the December 26, 2004 and March 28, 2005 Sumatra earthquakes

Source parameters affecting tsunami generation and propagation for the Mw > 9.0 December 26, 2004 and the Mw = 8.6 March 28, 2005 earthquakes are examined to explain the dramatic difference in tsunami observations. We evaluate both scalar measures (seismic moment, maximum slip, potential energy) and finite-source repre-sentations (distributed slip and far-field beaming from finite source dimensions) of tsunami generation potential. There exists significant variability in local tsunami runup with respect to the most readily available measure, seismic moment. The local tsunami intensity for the December 2004 earthquake is similar to other tsunamigenic earthquakes of comparable magnitude. In contrast, the March 2005 local tsunami was deficient relative to its earthquake magnitude. Tsunami potential energy calculations more accurately reflect the difference in tsunami severity, although these calculations are dependent on knowledge of the slip distribution and therefore difficult to implement in a real-time system. A significant factor affecting tsunami generation unaccounted for in these scalar measures is the location of regions of seafloor displacement relative to the overlying water depth. The deficiency of the March 2005 tsunami seems to be related to concentration of slip in the down-dip part of the rupture zone and the fact that a substantial portion of the vertical displacement field occurred in shallow water or on land. The comparison of the December 2004 and March 2005 Sumatra earthquakes presented in this study is analogous to previous studies comparing the 1952 and 2003 Tokachi-Oki earthquakes and tsunamis, in terms of the effect slip distribution has on local tsunamis. Results from these studies indicate the difficulty in rapidly assessing local tsunami runup from magnitude and epicentral location information alone.

Bay of Bengal, Sumatra

Impacts to wildlife of wind energy siting and operation in the United States

Electricity from wind energy is a major contributor to the strategy to reduce greenhouse gas emissions from fossil fuel use and thus reduce the negative impacts of climate change. Wind energy, like all power sources, can have adverse impacts on wildlife. After nearly 25 years of focused research, these impacts are much better understood, although uncertainty remains. In this report, we summarize positive impacts of replacing fossil fuels with wind energy, while describing what we have learned and what remains uncertain about negative ecological impacts of the construction and operation of land-based and offshore wind energy on wildlife and wildlife habitat in the U.S. Finally, we propose research on ways to minimize these impacts. TO SUMMARIZE: 1 Environmental and other benefits of wind energy include near-zero greenhouse gas emissions, reductions of other common air pollutants, and little or no water use associated with producing electricity from wind energy. Various scenarios for meeting U.S. carbon emission reduction goals indicate that a four- to five-fold expansion of land-based wind energy from the current 97 gigawatts (GW) by the year 2050 is needed to minimize temperature increases and reduce the risk of climate change to people and wildlife. 2 Collision fatalities of birds and bats are the most visible and measurable impacts of wind energy production. Current estimates suggest most bird species, especially songbirds, are at low risk of population-level impacts. Raptors as a group appear more vulnerable to collisions. Population-level impacts on migratory tree bats are a concern, and better information on population sizes is needed to evaluate potential impacts to these species. Although recorded fatalities of cave-dwelling bat species are typically low at most wind energy facilities, additional mortality from collisions is a concern given major declines in these species due to white-nose syndrome (WNS). Assessments of regional and cumulative fatality impacts for birds and bats have been hampered by the lack of data from areas with a high proportion of the nation’s installed wind energy capacity. Efforts to expand data accessibility from all regions are underway, and this greater access to data along with improvements in statistical estimators should lead to improved impact assessments. 3 Habitat impacts of wind energy development are difficult to assess. An individual wind energy facility may encompass thousands of acres, but only a small percentage of the landscape within the project area is directly transformed. If a project is sited in previously undisturbed habitat, there is concern for indirect impacts, such as displacement of sensitive species. Studies to date indicate displacement of some species, but the long-term population impacts are unknown. 4 Offshore wind energy development in the U.S. is just beginning. Studies at offshore wind facilities in Europe indicate some bird and marine mammal species are displaced from project areas, but substantial uncertainty exists regarding the individual or population-level impacts of this displacement. Bird and bat collisions with offshore turbines are thought to be less common than at terrestrial facilities, but currently the tools to measure fatalities at offshore wind energy facilities are not available. The wind energy industry, state and federal agencies, conservation groups, academia, and scientific organizations have collaborated for nearly 25 years to conduct the research needed to improve our understanding of risk to wildlife and to avoid and minimize that risk. Efforts to reduce the uncertainty about wildlife risk must keep up withthe pace and scale of the need to reduce carbon emissions. This will require focusing our research priorities and increasing the rate at which we incorporate research results into the development and validation of best practices for siting and operating wind energy facilities.

Issues in Ecology

Volcano seismology

A fundamental goal of volcano seismology is to understand active magmatic systems, to characterize the configuration of such systems, and to determine the extent and evolution of source regions of magmatic energy. Such understanding is critical to our assessment of eruptive behavior and its hazardous impacts. With the emergence of portable broadband seismic instrumentation, availability of digital networks with wide dynamic range, and development of new powerful analysis techniques, rapid progress is being made toward a synthesis of high-quality seismic data to develop a coherent model of eruption mechanics. Examples of recent advances are: (1) high-resolution tomography to image subsurface volcanic structures at scales of a few hundred meters; (2) use of small-aperture seismic antennas to map the spatio-temporal properties of long-period (LP) seismicity; (3) moment tensor inversions of very-long-period (VLP) data to derive the source geometry and mass-transport budget of magmatic fluids; (4) spectral analyses of LP events to determine the acoustic properties of magmatic and associated hydrothermal fluids; and (5) experimental modeling of the source dynamics of volcanic tremor. These promising advances provide new insights into the mechanical properties of volcanic fluids and subvolcanic mass-transport dynamics. As new seismic methods refine our understanding of seismic sources, and geochemical methods better constrain mass balance and magma behavior, we face new challenges in elucidating the physico-chemical processes that cause volcanic unrest and its seismic and gas-discharge manifestations. Much work remains to be done toward a synthesis of seismological, geochemical, and petrological observations into an integrated model of volcanic behavior. Future important goals must include: (1) interpreting the key types of magma movement, degassing and boiling events that produce characteristic seismic phenomena; (2) characterizing multiphase fluids in subvolcanic regimes and determining their physical and chemical properties; and (3) quantitatively understanding multiphase fluid flow behavior under dynamic volcanic conditions. To realize these goals, not only must we learn how to translate seismic observations into quantitative information about fluid dynamics, but we also must determine the underlying physics that governs vesiculation, fragmentation, and the collapse of bubble-rich suspensions to form separate melt and vapor. Refined understanding of such processes—essential for quantitative short-term eruption forecasts—will require multidisciplinary research involving detailed field measurements, laboratory experiments, and numerical modeling.

Pure and Applied Geophysics