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At least 271 records · Page 15Linked to original sources

A project summary: Water and energy budget assessment for a non-tidal wetland in the Sacramento-San Joaquin delta

The methods used to obtain universal cover coefficient (Kc) values for a non-tidal restored wetland in the Sacramento-San Joaquin river delta, US, during the summer of the year 2002 and to investigate possible differences during changing wind patterns are described. A micrometeorological tower over the wetland was established to quantify actual evapotranspiration (ETa) rates and surface energy fluxes for water and energy budget analysis. The eddy-covariance (EC) system was used to measure the surface energy budget data in the period from May 23 to November 6, 2002. The results show that K c values should be lower during westerly than northerly wind events during the midseason period due to the reduced vapor pressure deficit.

Conference Paper

Energy budget above a high-elevation subalpine forest in complex topography

Components of the energy budget were measured above a subalpine coniferous forest over two complete annual cycles. Sensible and latent heat fluxes were measured by eddy covariance. Bowen ratios ranged from 0.7 to 2.5 in the summer (June–September) depending upon the availability of soil water, but were considerably higher (∼3–6) during winter (December–March). Energy budget closure averaged better than 84% on a half-hourly basis in both seasons with slightly greater closure during the winter months. The energy budget showed a dependence on friction velocity ( u ∗ ), approaching complete closure at u ∗ values greater than 1 m s −1 . The dependence of budget closure on u ∗ explained why energy balance was slightly better in the winter as opposed to summer, since numerous periods of high turbulence occur in winter. It also explained the lower degree of energy closure (∼10% less) during easterly upslope flow since these periods were characterized by low wind speeds ( U <4 m s −1 ) and friction velocities ( u &#x2217; &lt;0.5 "> u∗<0.5 m s −1 ). Co-spectral analysis suggests a shift of flux density towards higher frequencies under conditions where closure was obtained. It is suggested that low frequency contributions to the flux and advection were responsible for the lack of day-time energy budget closure. These effects were reduced at high friction velocities observed at our site. Our ability to close the energy budget at night was also highly dependent on friction velocity, approaching near closure (∼90%) at u ∗ values between 0.7 and 1.1 m s −1 . Below this range, the airflow within the canopy becomes decoupled with the flow above. Above this range, insufficient temperature resolution of the sonic anemometer obscured the small temperature fluctuations, rendering measurements intractable.

Agricultural and Forest Meteorology

Spectral wave dissipation by submerged aquatic vegetation in a back-barrier estuary

Submerged aquatic vegetation is generally thought to attenuate waves, but this interaction remains poorly characterized in shallow-water field settings with locally generated wind waves. Better quantification of wave–vegetation interaction can provide insight to morphodynamic changes in a variety of environments and also is relevant to the planning of nature-based coastal protection measures. Toward that end, an instrumented transect was deployed across a Zostera marina (common eelgrass) meadow in Chincoteague Bay, Maryland/Virginia, U.S.A., to characterize wind-wave transformation within the vegetated region. Field observations revealed wave-height reduction, wave-period transformation, and wave-energy dissipation with distance into the meadow, and the data informed and calibrated a spectral wave model of the study area. The field observations and model results agreed well when local wind forcing and vegetation-induced drag were included in the model, either explicitly as rigid vegetation elements or implicitly as large bed-roughness values. Mean modeled parameters were similar for both the explicit and implicit approaches, but the spectral performance of the explicit approach was poor compared to the implicit approach. The explicit approach over-predicted low-frequency energy within the meadow because the vegetation scheme determines dissipation using mean wavenumber and frequency, in contrast to the bed-friction formulations, which dissipate energy in a variable fashion across frequency bands. Regardless of the vegetation scheme used, vegetation was the most important component of wave dissipation within much of the study area. These results help to quantify the influence of submerged aquatic vegetation on wave dynamics in future model parameterizations, field efforts, and coastal-protection measures.

Limnology and Oceanography

A preliminary assessment of hyperspectral remote sensing technology for mapping submerged aquatic vegetation in the Upper Delaware River National Parks

Hyperspectral remote sensing of submerged aquatic vegetation is a complex and difficult process that is affected by unique constraints on the energy flow profile near and below the water surface. In addition, shallow, winding, lotic systems, such as the Upper Delaware River, present additional remote sensing problems in the form of specular reflectance, variable depth and constituents in the water column and sometimes extremely weak signal strength due to absorption and scattering in the water column that can be statistically overwhelmed by the reflectance from upland vegetation in any individual image scene. Here we test hyperspectral imagery from the Civil Air Patrol’s (CAP), Airborne Real-time Cueing Hyperspectral Enhanced Recon (ARCHER) system in the scenic waters of two National Parks on the Upper Delaware River. A number of unique image processing problems were encountered, including specular reflectance from winding lotic systems, variable depth and flow dynamics of the riverine environment, and disproportionate signal strength from surface reflectance in this riverine environment. This were solved by applying a specular reflectance removal algorithm, applying field data collections to classification results and masking upland vegetation so as to not statistically overwhelm the weak reflectance signal from surface and near-surface water. Much was learned about conducting imaging spectroscopy in such difficult conditions. Significant results include successful mapping of SAV presenece/absence, advantages of upland masking of the reflectance signal, and a numkber of processing approaches that are unique to this environment. In this paper we summarize our results and identify unique issues that must be addressed in this environment

New Jersey, New York, Pennsylvania

City-scale geothermal energy everywhere to support renewable resilience – A transcontinental cooperation

Cities have important and varying incentives to transform their energy sector to all-electric with low carbon emissions. However, they often encounter a number of impediments when attempting to implement such a change. For example, while urban areas have the highest energy demand-density, cities often lack the space for installing additional energy generation and/or long-duration energy storage systems. Cities also have existing environmental issues from energy sources (e.g., pollution from dust, waste heat or noise) that make residents sensitive to energy infrastructure development. Utilizing power from conventional sources, such as natural gas, biomass and hydropower, which usually are distanced from the urban areas, also make cities more vulnerable to supply disruptions. One promising de-carbonizing energy option for cities focuses on their heating and cooling needs, which constitutes around 1/3 of U.S. and 1/2 of European energy consumption (including industrial processes like drying, pasteurization, etc.; Jadun and others, 2017; EU Commission 2022). If heating and cooling loads can be met by geothermal direct-use technologies, then the need for new electric sources can be greatly lessened. Despite the proven efficacy of geothermal energy as a city/community-scale heating and cooling resource, it is currently only a niche resource in the heating and cooling sector, though has significant potential for future growth. Historically, emphasis has been placed on geothermal electricity generation potential that requires higher temperature (greater than 90 °C) resources at drillable depths, but potentially viable areas are geographically limited and typically well removed from urban centers. Key drivers for investments were represented by greater political interest in renewable electricity production, higher revenues and less effort in distributing the produced energy via grids. In contrast, low-temperature (less than 90 °C) geothermal resources can be used directly for heating and cooling almost everywhere and are cost-effective in urban/suburban settings. In addition, the increased prominence of renewable electricity sources, such as wind and solar onto city-scale electric grids, has led to new urgency around questions of energy storage. Underground thermal energy storage (UTES), wherein surplus or waste heat is stored underground for later use, could present a long-duration energy storage solution. From October 2022 through September 2024, a transcontinental consortium consisting of geological surveys, geoscience organizations, industry representatives and universities aims to develop an understanding of the global potential for city-scale geothermal, proposing guidelines to aid in promoting the economic utilization of low temperature geothermal resources. Efforts will focus on providing city managers and other decision makers with the information needed to evaluate and implement suitable city/community-scale geothermal technologies. Funded by the U.S. Geological Survey’s John Wesley Powell Center for Analysis and Synthesis, this interdisciplinary consortium will showcase tools, datasets, and scientific recommendations to accelerate the broader understanding and adoption of renewable energy systems that access geothermal resources. The collaborative research activities include standardization of nomenclatures, resource description and characterization strategies globally. The results from these activities will be combined with a preliminary climate-driven, city-based energy needs related analysis to perform energy supply/demand matching analysis. The identification of city-specific applications that would benefit from the geothermal technologies provides the basis to up-scale city-specific determinations to regional and national assessments of resource estimates. The city-scale geothermal energy research initiative will ultimately provide the synergies and management analysis that can address benefits, environmental impacts, regulatory frameworks, sustainability, and suitability in retrofitted buildings or new as well as existing heating networks.

Conference Paper

Energetic costs of mange in wolves estimated from infrared thermography

Parasites, by definition, extract energy from their hosts and thus affect trophic and food web dynamics even when the parasite may have limited effects on host population size. We studied the energetic costs of mange ( Sarcoptes scabiei ) in wolves ( Canis lupus ) using thermal cameras to estimate heat losses associated with compromised insulation during the winter. We combined the field data of known, naturally infected wolves with data set on captive wolves with shaved patches of fur as a positive control to simulate mange-induced hair loss. We predict that during the winter in Montana, more severe mange infection increases heat loss by around 5.2 to 12 MJ per night (1240 to 2850 kcal, or a 65% to 78% increase) for small and large wolves, respectively accounting for wind effects. To maintain body temperature would require a significant proportion of a healthy wolf's total daily energy demands (18-22 MJ/day). We also predict how these thermal costs may increase in colder climates by comparing our predictions in Bozeman, Montana to those from a place with lower ambient temperatures (Fairbanks, Alaska). Contrary to our expectations, the 14&deg;C differential between these regions was not as important as the potential differences in wind speed. These large increases in energetic demands can be mitigated by either increasing consumption rates or decreasing other energy demands. Data from GPS-collared wolves indicated that healthy wolves move, on average, 17 km per day, which was reduced by 1.5, 1.8 and 6.5 km for light, medium, and severe hair loss. In addition, the wolf with the most hair loss was less active at night and more active during the day, which is the converse of the movement patterns of healthy wolves. At the individual level mange infections create significant energy demands and altered behavioral patterns, this may have cascading effects on prey consumption rates, food web dynamics, predator-prey interactions, and scavenger communities.

Montana

Hydroacoustic, meteorologic and seismic observations of the 2016 Nansen Ice Shelf calving event and iceberg formation

On 7 April 2016, the Nansen Ice Shelf (NIS) front calved into two icebergs, the first large-scale calving event in >30 years. Three hydrophone moorings were deployed seaward of the NIS in December 2015 and over the following months recorded hundreds of short duration, broadband (10-400 Hz) cryogenic signals, likely caused by fracturing of the ice-shelf. The majority of these icequakes occur between January and early March 2016, several weeks prior to the calving observed by satellite on 7 April. Barometric pressure and wind speed records show the day the icebergs drifted from the NIS coincided with the largest low-pressure storm system recorded in the previous 7 months. A nearby seismic station also shows an increase in low-frequency energy, harmonic tremor, and microseisms on 7 April. Our interpretation is the northern segment of the NIS leading edge broke free during mid-January to February, producing high acoustic energy, but the icebergs remained stationary until the combination of a strong low-pressure system, with high winds freed the icebergs. As the unpinning of Antarctic ice shelves is not a well-documented process, our observations show that storm systems may play an under-appreciated role in Antarctic ice shelf break-up.

Frontiers in Earth Science

Hurricane Ike: Observations and analysis of coastal change

Understanding storm-induced coastal change and forecasting these changes require knowledge of the physical processes associated with the storm and the geomorphology of the impacted coastline. The primary physical processes of interest are the wind field, storm surge, and wave climate. Not only does wind cause direct damage to structures along the coast, but it is ultimately responsible for much of the energy that is transferred to the ocean and expressed as storm surge, mean currents, and large waves. Waves and currents are the processes most responsible for moving sediments in the coastal zone during extreme storm events. Storm surge, the rise in water level due to the wind, barometric pressure, and other factors, allows both waves and currents to attack parts of the coast not normally exposed to those processes. Coastal geomorphology, including shapes of the shoreline, beaches, and dunes, is equally important to the coastal change observed during extreme storm events. Relevant geomorphic variables include sand dune elevation, beach width, shoreline position, sediment grain size, and foreshore beach slope. These variables, in addition to hydrodynamic processes, can be used to predict coastal vulnerability to storms The U.S. Geological Survey's (USGS) National Assessment of Coastal Change Hazards Project (http://coastal.er.usgs.gov/hurricanes), strives to provide hazard information to those interested in the Nation's coastlines, including residents of coastal areas, government agencies responsible for coastal management, and coastal researchers. As part of the National Assessment, observations were collected to measure coastal changes associated with Hurricane Ike, which made landfall near Galveston, Texas, on September 13, 2008. Methods of observation included aerial photography and airborne topographic surveys. This report documents these data-collection efforts and presents qualitative and quantitative descriptions of hurricane-induced changes to the shoreline, beaches, dunes, and infrastructure in the region that was heavily impacted by Hurricane Ike.

Texas

Wave- and tidally-driven flow and sediment flux across a fringing coral reef: Southern Molokai, Hawaii

The fringing coral reef off the south coast of Molokai, Hawaii is currently being studied as part of a US Geological Survey (USGS) multi-disciplinary project that focuses on geologic and oceanographic processes that affect coral reef systems. For this investigation, four instrument packages were deployed across the fringing coral reef during the summer of 2001 to understand the processes governing fine-grained terrestrial sediment suspension on the shallow reef flat (h=1m) and its advection across the reef crest and onto the deeper fore reef. The time-series measurements suggest the following conceptual model of water and fine-grained sediment transport across the reef: Relatively cool, clear water flows up onto the reef flat during flooding tides. At high tide, more deep-water wave energy is able to propagate onto the reef flat and larger Trade wind-driven waves can develop on the reef flat, thereby increasing sediment suspension. Trade wind-driven surface currents and wave breaking at the reef crest cause setup of water on the reef flat, further increasing the water depth and enhancing the development of depth-limited waves and sediment suspension. As the tide ebbs, the water and associated suspended sediment on the reef flat drains off the reef flat and is advected offshore and to the west by Trade wind- and tidally- driven currents. Observations on the fore reef show relatively high turbidity throughout the water column during the ebb tide. It therefore appears that high suspended sediment concentrations on the deeper fore reef, where active coral growth is at a maximum, are dynamically linked to processes on the muddy, shallow reef flat.

Hawaii

Reptiles and amphibians

Summary – We reviewed all the peer-reviewed scientific publications we could find on the known and potential effects of wind farm development, operation, maintenance, and decommissioning on reptiles and amphibians (collectively herpetofauna) worldwide. Both groups are declining globally due to a multitude of threats including energy development. Effect studies were limited to the long-term research by the authors on Agassiz’s Desert Tortoise ecology and behavior at single operational wind farm in California, US and an analysis of the effects of wind farm installation on species richness of vertebrates including reptiles and amphibians in northwestern Portugal. Research on Agassiz’s Desert Tortoise found few demonstrable differences in biological parameters between populations in the wind farm and those in more natural habitats. High reproductive output is due to the regional climate and not to the presence or operation of the wind farm. Site operations have resulted in death and injury to a small number of adult tortoises and over the long-term tortoises now appear to avoid the areas of greatest turbine concentration. Research in Portugal using models and simulations based on empirical data show that vertebrate species richness (including herpetofauna) decreased by almost 20% after the installation of only two large monopole turbines per 250 x 250 m plot. Knowledge of the known responses of herpetofauna to various disturbances allows identification of potential impacts from construction material acquisition in offsite areas, mortality and stress due to impacts of roads and related infrastructure, destruction and modification of habitat, habitat fragmentation and barriers to gene flow, noise, vibration, electromagnetic field generation, heat from buried high voltage transmission lines, alteration of local and regional climate, predator attraction, and increased risk of fire. Research on herpetofauna lags far behind what is needed and, in particular, before-after-control-impact studies are critically needed to identify cause and effect relationships in order to develop effective mitigation strategies for any negative impacts.

Book chapter

Hurricane Gustav: Observations and analysis of coastal change

Understanding storm-induced coastal change and forecasting these changes require knowledge of the physical processes associated with a storm and the geomorphology of the impacted coastline. The primary physical processes of interest are the wind field, storm surge, currents, and wave field. Not only does wind cause direct damage to structures along the coast, but it is ultimately responsible for much of the energy that is transferred to the ocean and expressed as storm surge, mean currents, and surface waves. Waves and currents are the processes most responsible for moving sediments in the coastal zone during extreme storm events. Storm surge, which is the rise in water level due to the wind, barometric pressure, and other factors, allows both waves and currents to attack parts of the coast not normally exposed to these processes. Coastal geomorphology, including shapes of the shoreline, beaches, and dunes, is also a significant aspect of the coastal change observed during extreme storms. Relevant geomorphic variables include sand dune elevation, beach width, shoreline position, sediment grain size, and foreshore beach slope. These variables, in addition to hydrodynamic processes, can be used to predict coastal vulnerability to storms. The U.S. Geological Survey (USGS) National Assessment of Coastal Change Hazards project ( http://coastal.er.usgs.gov/hurricanes ) strives to provide hazard information to those concerned about the Nation’s coastlines, including residents of coastal areas, government agencies responsible for coastal management, and coastal researchers. As part of the National Assessment, observations were collected to measure morphological changes associated with Hurricane Gustav, which made landfall near Cocodrie, Louisiana, on September 1, 2008. Methods of observation included oblique aerial photography, airborne topographic surveys, and ground-based topographic surveys. This report documents these data-collection efforts and presents qualitative and quantitative descriptions of hurricane-induced changes to the shoreline, beaches, dunes, and infrastructure in the region that was heavily impacted by Hurricane Gustav.

Alabama, Louisiana, Mississippi

Estimation of evaporation from open water - A review of selected studies, summary of U.S. Army Corps of Engineers data collection and methods, and evaluation of two methods for estimation of evaporation from five reservoirs in Texas

Organizations responsible for the management of water resources, such as the U.S. Army Corps of Engineers (USACE), are tasked with estimation of evaporation for water-budgeting and planning purposes. The USACE has historically used Class A pan evaporation data (pan data) to estimate evaporation from reservoirs but many USACE Districts have been experimenting with other techniques for an alternative to collecting pan data. The energy-budget method generally is considered the preferred method for accurate estimation of open-water evaporation from lakes and reservoirs. Complex equations to estimate evaporation, such as the Penman, DeBruin-Keijman, and Priestley-Taylor, perform well when compared with energy-budget method estimates when all of the important energy terms are included in the equations and ideal data are collected. However, sometimes nonideal data are collected and energy terms, such as the change in the amount of stored energy and advected energy, are not included in the equations. When this is done, the corresponding errors in evaporation estimates are not quantifiable. Much simpler methods, such as the Hamon method and a method developed by the U.S. Weather Bureau (USWB) (renamed the National Weather Service in 1970), have been shown to provide reasonable estimates of evaporation when compared to energy-budget method estimates. Data requirements for the Hamon and USWB methods are minimal and sometimes perform well with remotely collected data. The Hamon method requires average daily air temperature, and the USWB method requires daily averages of air temperature, relative humidity, wind speed, and solar radiation. Estimates of annual lake evaporation from pan data are frequently within 20 percent of energy-budget method estimates. Results of evaporation estimates from the Hamon method and the USWB method were compared against historical pan data at five selected reservoirs in Texas (Benbrook Lake, Canyon Lake, Granger Lake, Hords Creek Lake, and Sam Rayburn Lake) to evaluate their performance and to develop coefficients to minimize bias for the purpose of estimating reservoir evaporation with accuracies similar to estimates of evaporation obtained from pan data. The modified Hamon method estimates of reservoir evaporation were similar to estimates of reservoir evaporation from pan data for daily, monthly, and annual time periods. The modified Hamon method estimates of annual reservoir evaporation were always within 20 percent of annual reservoir evaporation from pan data. Unmodified and modified USWB method estimates of annual reservoir evaporation were within 20 percent of annual reservoir evaporation from pan data for about 91 percent of the years compared. Average daily differences between modified USWB method estimates and estimates from pan data as a percentage of the average amount of daily evaporation from pan data were within 20 percent for 98 percent of the months. Without any modification to the USWB method, average daily differences as a percentage of the average amount of daily evaporation from pan data were within 20 percent for 73 percent of the months. Use of the unmodified USWB method is appealing because it means estimates of average daily reservoir evaporation can be made from air temperature, relative humidity, wind speed, and solar radiation data collected from remote weather stations without the need to develop site-specific coefficients from historical pan data. Site-specific coefficients would need to be developed for the modified version of the Hamon method.

Texas

The heliothermic lake: a direct method of collecting and storing solar energy

Heliothermic lakes contain a sun-heated layer of warm, saline water beneath a surface layer of cooler, less saline water. The two layers are separated by a chemocline, a stratum in which salinity increases progressively with depth. The chemocline, the position of which varies from lake to lake, functions as a heat trap. Most sunlight that penetrates this stratum is transformed into heat, which cannot escape by radiation because water is opaque to infrared light, and which cannot escape by convection because the specific gravity of the dense water below the chemocline is not significantly decreased by the increasing temperature. Heat can escape only by conduction through the chemocline, and water or brine is a very poor conductor. As a result, the temperature within and commonly below the chemocline rises. Under ideal conditions of a clear solution, high isolation, and a suitable salinity distribution, the temperature of the chemocline will increase to the boiling point. The lower part of the chemocline in a shallow (0.8-m) manmade heliothermic lake at Sedom, Israel, for example, reached a temperature of 96°C (205°F) in spite of a brine with poor light transmissibility. About 30 natural heliothermic lakes have been reported. The best known, Lake Ursului, occurs in Transylvania, Romania (latitude, 46°35'N). During four consecutive summers, 1899 to 1902, this lake had temperatures of 60-70°C (140-158°F) at a depth of 1-2 m. Heliothermic conditions have persisted in this lake for at least 28 and probably for more than 77 years. The most unusual, Lake Vanda, Victoria Land, Antarctica (latitude, 77°35'S), has a temperature of 26°C near the base of the chemocline at a depth of 61 despite a mean atmospheric temperature of -20°C. Sunlight penetrates into the chemocline through 5 m of remarkably clear ice. Maintenance of the chemocline is the chief problem preventing commercial use of manmade heliothermic lakes for the collection and storage of solar energy. The most effective means of preserving this stratum from destruction by diffusion and wind mixing may be the use of salts, such as sodium sulfate and sodium borate, whose solubilities are markedly influenced by temperature. The chemoclines of ponds constructed with such salts, in theory, would persist indefinitely and could be of great size.

Open-File Report

Byproduct mineral commodities used for the production of photovoltaic cells

Rising fossil fuel costs, environmental concerns relating to global climate change, and Government policy to signifcantly increase our Nation's energy independence have placed greater emphasis on the generation of electricity from renewable sources, such as the Sun (light and heat), water, and wind, which for all intents and purposes are inexhaustible resources. Although the total amount of electricity generated from the direct conversion of sunlight through photovoltaic cells is relatively small compared with that from other forms of renewable energy, the rate of growth in the sector is signifcant. The total value of energy of photovoltaic cells produced worldwide increased to nearly 7 gigawatts (GW) in 2008 from 45 megawatts (MW) in 1990, a compound annual growth rate of about 30 percent. In the United States, manufacturing of photovoltaic cells has grown exponentially to about 480 MW in 2008, accounting for 6 percent of world production, from less than 10 MW of photovoltaic capacity in 1990 (Benner, 2007; U.S. Department of Energy, Energy Information Administration, 2010), a compound annual growth rate of approxi-mately 23 percent. A production capacity of 1 GW of electricity [or 8,760 gigawatthours1 (GWh)] is equivalent to the annual electricity requirements for roughly 800,000 average households in the United States (U.S. Department of Energy, Energy Information Administration, 2010). This estimate does not include losses of electricity, such as during transmission through power lines.

Circular

A call for conservation scientists to evaluate opportunities and risks from operation of vertical axis wind turbines

A new conservation paradigm ( Kareiva and Marvier, 2012 ) emphasizes the need for scientists to embrace a holistic approach taking into account the social and natural dimensions of conservation in human-dominated landscapes. While there is heavy debate over the new approach ( Tallis and Lubchenco, 2014 ), most conservation scientists seem to agree on to the need to cooperate with corporations when such interaction can benefit people and the environment ( Miller et al., 2014 ; Tallis and Lubchenco, 2014 ). Cooperation can be most productive when established in the early phases of development, but this requires a high capacity for forward looking pre-emptive action (i.e., anticipating potential forthcoming issues before they arise; Sutherland and Woodroof, 2009 ). This framework is particularly salient for rapidly developing and expanding technologies such as those for harvesting renewable energy sources. Here the stakes are very high, as they concern mitigating negative consequences to global climate while generating energy without impacting wildlife. In this vein, past experience is instructional. The environmental impacts of biofuels and wind, among others, have been identified and evaluated rather late ( Sutherland and Woodroof, 2009 ), so that implementation of best management practices on existing facilities is now often prohibitively expensive.

Frontiers in Ecology and Evolution

Efficient modeling of wave generation and propagation in a semi-enclosed estuary

Accurate, and high-resolution wave statistics are critical for regional hazard mapping and planning. However, long-term simulations at high spatial resolution are often computationally prohibitive. Here, multiple rapid frameworks including fetch-limited, look-up-table (LUT), and linear propagation are combined and tested in a large estuary exposed to both remotely (swell) and locally generated waves. Predictions are compared with observations and a traditional SWAN implementation coupled to a regional hydrodynamic model. Fetch-limited and LUT approaches both perform well where local winds dominate with errors about 10%–20% larger than traditional SWAN predictions. Combinations of these rapid approaches with linear propagation methods where remotely generated energy is present also perform well with errors 0%–20% larger than traditional SWAN predictions. Model–model comparisons exhibit lower variance than comparisons to observations suggesting that, while model implementation impacts prediction skill, model boundary conditions (winds, offshore waves) may be a dominant source of error. Overall results suggest that with a relatively small loss in prediction accuracy, simulations computation cost can be significantly reduced (by 2–4 orders of magnitude) allowing for high resolution and long-term predictions to adequately define regional wave statistics.

British Columbia, Washington

Vulnerability of avian populations to renewable energy production

Renewable energy production can kill individual birds, but little is known about how it affects avian populations. We assessed the vulnerability of populations for 23 priority bird species killed at wind and solar facilities in California, USA. Bayesian hierarchical models suggested that 48% of these species were vulnerable to population-level effects from added fatalities caused by renewables and other sources. Effects of renewables extended far beyond the location of energy production to impact bird populations in distant regions across continental migration networks. Populations of species associated with grasslands where turbines were located were most vulnerable to wind. Populations of nocturnal migrant species were most vulnerable to solar, despite not typically being associated with deserts where the solar facilities we evaluated were located. Our findings indicate that addressing declines of North American bird populations requires consideration of the effects of renewables and other anthropogenic threats on both nearby and distant populations of vulnerable species.

California

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