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At least 829 records · Page 46Linked to original sources

Near-fault velocity spectra from laboratory failures and their relation to natural ground motion

We compared near-fault velocity spectra recorded during laboratory experiments to that of natural earthquakes. We fractured crystalline rock samples at room temperature and intermediate confining pressure (50 MPa). Subsequent slip events were generated on the fracture surfaces under higher confinement (300 MPa). Velocity spectra from rock fracture resemble the inverse frequency (1/ f ) decay of natural earthquake velocity. This spectrum can be attributed to fault creation via seismic fracturing over a wide range of spatial scales. In contrast, subsequent slips on the rough fracture surfaces are depleted in high frequency energy and falloff approximately as 1/ f 2 . The 1/ f 2 spectrum is more consistent with a slider-block model obeying static-kinetic friction than a natural earthquake. The depleted high frequency content precludes the rough fault experiments from being directly analogous to natural sources. The suppression of high frequencies may have resulted from two possible factors: (1) the presence of a well-developed shear zone and coseismic damping of the fault motion by dissipation within it or, in our favored interpretation, (2) a smaller amount of energy dissipated by shearing relative to the total energy release at elevated confining pressure. In context of the latter explanation, a unifying concept that applies to these experiments, earthquakes, ground motion, and models of complex radiated motion is that high frequency radiated energy is relatively enhanced when total energy release is nearly balanced within the source region by dissipative processes. This near-critical energy release condition can be accessed at low normal stress in laboratory experiments.

Journal of Geophysical Research↗

Comparison of Vibroseis and explosive source methods for deep crustal seismic reflection profiling in the Basin and Range province

Direct comparison of low-fold, high-energy explosive and high-fold, lower-energy Vibroseis methods for acquiring deep crustal seismic reflection data in the Basin and Range Province suggests that the high-fold common midpoint (CMP) method there does not provide the best possible image of lower crustal structure. During the recent acquisition of a Vibroseis profile in the Basin and Range Province we fired single deep shot holes to obtain a coincident single-fold explosive section. Within the upper crust (upper 3 s) the explosive source and Vibroseis records are nearly equivalent. For record times below 3 s, however, comparison of the explosive source gathers and the coincident final 60-fold Vibroseis section demonstrates that low-fold explosive profiling provides a higher-quality image of the midcrust to lower crust (3–10 s). The higher record quality of the explosive sources results primarily from the larger seismic energy levels produced by the explosives, making them less sensitive to common noise sources. Whereas deeper than 4–5 s the Vibroseis energy levels on individual source efforts fall to that of ambient noise levels, the explosions provide signal-generated energy exceeding ambient noise levels down to 18–19 s. Although individual reflections can be correlated on explosion and Vibroseis shot gathers, reflection events on the 60-fold Vibroseis stack do not correlate to those on the single-fold explosion profile, suggesting that the high-fold CMP method in our study did not maintain the integrity of the weak lower crustal reflected arrivals. Reasons why the high-fold CMP method apparently failed include complex, even time-varying, statics, nonhyperbolic moveout at long offsets, and the difficulty in resolving stacking velocities with data having low signal-to-noise ratios. Reflections on the explosion section are longer and imply a greater degree of layering than one would infer from the lower-energy Vibroseis section.

Journal of Geophysical Research↗

The M2 tide on the Amazon Shelf

As part of A Multidisciplinary Amazon Shelf Sediment Study (AMASSEDS), moored and shipboard current measurements made over the Amazon shelf during 1990–1991 have been analyzed to determine the dominant semidiurnal tidal constituent, the M 2 . These results have been combined with coastal sea level data from within the Amazon and Para Rivers, the adjacent shelf, and with satellite‐derived tidal elevation data from off the shelf to provide a more complete description of the M 2 tide in this complex river/shelf system. Near the Amazon River mouth the M 2 tide propagates across the shelf and through the mouth as a damped progressive wave, with its amplitude decreasing and phase increasing upriver. Over the adjacent shelf north of Cabo Norte, the M 2 tide approaches a damped standing wave, with large amplitudes (greater than 1.5 m) near the coast due to near resonance within the coastal embayment formed by the Cabo Norte shoal to the south and Cabo Cassipore to the north. The observed M 2 tidal currents are nearly rectilinear and oriented primarily across the local isobaths. Comparisons between tidal observations in both the North Channel and the Cabo Norte‐Cabo Cassipore embayment and a simple variable‐width channel tidal model indicate that (1) most of the M 2 tidal energy dissipation occurs over the mid‐ and inner shelf (in water depths less than 20 m) and (2) fluid muds found there cause a significant reduction (of order 50%) in the effective bottom friction felt by the M 2 tide. The approximate resonant period of the Cabo Norte‐Cabo Cassipore embayment is 11.9 hours, and at resonance the average energy dissipation per forcing period is roughly 2.2 times the average mechanical energy in the embayment. This damping rate is large enough that the tidal amplification is rather insensitive to forcing frequency, so that the response of the embayment to forcing over the semidiurnal band should be essentially the same. The vertical structure of the M 2 tidal current is examined at one outer shelf site located in 65‐m water depth. The observed semimajor axis increases logarithmically with height above bottom within the lowest 1–2 m and reaches a maximum in excess of 0.5 m/s at approximately 11 m above bottom. The mean ellipticity is small (less than 0.1) and positive, indicating clockwise rotation of a nearly rectilinear current, and the semimajor axis is oriented within 10° of the local cross‐isobath direction. The M 2 phase increases with height above bottom, with flood at the bottom leading flood at the surface by about 1 hour. A simple, local homogeneous tidal model with time‐ and space‐dependent eddy viscosity simulates the observed near‐bottom velocity reasonably well, however, the model suggests that stratification above the lowest few meters may significantly affect the tidal boundary layer structure at this site. The M 2 energy flux onto the Amazon shelf and into the Amazon and Para Rivers has been estimated using current and surface elevation data and the best fit variable‐width channel model results. The net M 2 energy flux into the mouths of the Amazon and Para Rivers is 0.47×10 10 W and 0.19×10 10 W, respectively. A net M 2 energy flux of about 3.3×10 10 W occurs onto the shelf between the North Channel of the Amazon River and Cabo Cassipore. This stretch of the Amazon shelf accounts for about 1.3% of the global dissipation of the M 2 tide.

Journal of Geophysical Research C: Oceans↗

Ursids evolved dietary diversity without major alterations in metabolic rates

The diets of the eight species of ursids range from carnivory (e.g., polar bears, Ursus maritimus ) to insectivory (e.g., sloth bears, Melursus ursinus ), omnivory (e.g., brown bears, U. arctos ), and herbivory (e.g., giant pandas, Ailuropoda melanoleuca ). Dietary energy availability ranges from the high-fat, highly digestible, calorically dense diet of polar bears (~ 6.4 kcal digestible energy/g fresh weight) to the high-fiber, poorly digestible, calorically restricted diet (~ 0.7) of giant pandas. Thus, ursids provide the opportunity to examine the extent to which dietary energy drives evolution of energy metabolism in a closely related group of animals. We measured the daily energy expenditure (DEE) of captive brown bears in a relatively large, zoo-type enclosure and compared those values to previously published results on captive brown bears, captive and free-ranging polar bears, and captive and free-ranging giant pandas. We found that all three species have similar mass-specific DEE when travel distances and energy intake are normalized even though their diets differ dramatically and phylogenetic lineages are separated by millions of years. For giant pandas, the ability to engage in low-cost stationary foraging relative to more wide-ranging bears likely provided the necessary energy savings to become bamboo specialists without greatly altering their metabolic rate.

Scientific Reports↗

A body composition model with multiple storage compartments for polar bears (Ursus maritimus)

Climate warming is rapidly altering Arctic ecosystems. Polar bears ( Ursus maritimus ) need sea ice as a platform from which to hunt seals, but increased sea-ice loss is lengthening periods when bears are without access to primary hunting habitat. During periods of food scarcity, survival depends on the energy that a bear has stored in body reserves, termed storage energy, making this a key metric in predictive models assessing climate change impacts on polar bears. Here, we developed a body composition model for polar bears that estimates storage energy while accounting for changes in storage tissue composition. We used data of dissected polar bears ( n = 31) to link routinely collected field measures of total body mass and straight-line body length to the body composition of individual bears, described in terms of structural mass and two storage compartments, adipose and muscle. We then estimated the masses of metabolizable proteins and lipids within these storage compartments, giving total storage energy. We tested this multi-storage model by using it to predict changes in the lipid stores from an independent dataset of wild polar bears ( n = 36) that were recaptured 8–200 days later. Using length and mass measurements, our model successfully predicted direct measurements of lipid changes via isotopic dilutions (root mean squared error of 14.5 kg). Separating storage into two compartments, and allowing the molecular composition of storage to vary, provides new avenues for quantifying energy stores of individuals across their life cycle. The multi-storage body composition model thus provides a basis for further exploring energetic costs of physiological processes that contribute to individual survival and reproductive success. Given bioenergetic models are increasingly used as a tool to predict individual fitness and population dynamics, our approach for estimating individual energy stores could be applicable to a wide range of species.

Article↗

Effects of wetland management on carrying capacity of diving ducks and shorebirds in a coastal estuary

With global loss of natural wetlands, managed wetlands increasingly support energy requirements for wintering shorebirds and waterfowl. Despite numerous studies of avian bioenergetics in freshwater systems, less is known of the energetic capacity of estuarine systems. In San Francisco Bay, managed saline ponds converted from former commercial salt evaporation ponds form part of the largest wetland restoration project on the Pacific coast of North America. A daily-ration model was applied to assess carrying capacity for diving ducks and shorebirds during four winter seasons (2007–2010) in seasonal and circulation ponds, each in two salinity classes. Diving ducks comprised an estimated 35,450 ± 1,559 ( ± SE) in average years and 45,458 ± 1,653 in peak years with > 95% in circulation ponds. Shorebirds comprised 64,253 ± 14,838 ( ± SE) in average years and 108,171 ± 4,854 in peak years with > 64% in seasonal ponds. Macroinvertebrate energy density was highest in mesohaline (5–30 ppt) circulation ponds and lowest in seasonal ponds for both guilds. Energy requirements for diving ducks in mesohaline followed by low-hyperhaline (30–80 ppt) circulation ponds were mostly met by available prey energy. Available energy for shorebirds was substantially less than they required in seasonal ponds but exceeded their needs in mesohaline circulation ponds. Mesohaline circulation ponds supported 9,443 ± 1,649 ( ± SE) shorebird use-days·ha -1 of accessible habitat and 2,297 ± 402 diving duck use-days·ha -1 of accessible habitat, twice the capacity of low-hyperhaline circulation ponds and greater than five times that of seasonal ponds for both guilds. Our results indicated that reducing salinity to mesohaline levels and altering water depth to increase accessibility substantially increased energy available for these species in estuarine managed ponds.

California↗

Suitability of coastal marshes as Whooping Crane (Grus americana) foraging habitat in southwest Louisiana, USA

Foraging habitat conditions (i.e., water depth, prey biomass, digestible energy density) can be a significant predictor of foraging habitat selection by wading birds. Potential foraging habitats of Whooping Cranes ( Grus americana ) using marshes include ponds and emergent marsh, but the potential prey and energy availability in these habitat types have rarely been studied. In this study, we estimated daily digestible energy density for Whooping Cranes in different marsh and microhabitat types (i.e., pond, flooded emergent marsh). Also, indicator metrics of foraging habitat suitability for Whooping Cranes were developed based on seasonal water depth, prey biomass, and digestible energy density. Seasonal water depth (cm), prey biomass (g wet weight m -2 ), and digestible energy density (kcal g -1 m -2 ) ranged from 0.0 to 50.2 ± 2.8, 0.0 to 44.8 ± 22.3, and 0.0 to 31.0 ± 15.3, respectively. With the exception of freshwater emergent marsh in summer, all available habitats were capable of supporting one Whooping Crane per 0.1 ha per day. All habitat types in the marshes had relatively higher suitability in spring and summer than in fall and winter. Our study indicates that based on general energy availability, freshwater marshes in the region can support Whooping Cranes in a relatively small area, particularly in spring and summer. In actuality, the spatial density of ponds, the flood depth of the emergent marsh, and the habitat conditions (e.g., vegetation density) between adjacent suitable habitats will constrain suitable habitat and Whooping Crane numbers.

Louisiana↗

An automatic P‐Phase arrival‐time picker

Presented is a new approach for picking P ‐phase arrival time in single‐component acceleration or broadband velocity records without requiring detection interval or threshold settings. The algorithm P PHASE P ICKER transforms the signal into a response domain of a single‐degree‐of‐freedom (SDOF) oscillator with viscous damping and then tracks the rate of change of dissipated damping energy to pick P ‐wave phases. The SDOF oscillator has a short natural period and a correspondingly high resonant frequency, which is higher than most frequencies in a seismic wave. It also has a high damping ratio (60% of critical). At this damping level, the frequency response approaches the Butterworth maximally flat magnitude filter, and phase angles are preserved. The relative input energy imparted to the oscillator by the input signal is converted to elastic strain energy and then dissipated by the damping element as damping energy. The damping energy yields a smooth envelope over time; it is zero in the beginning of the signal, zero or near zero before the P ‐phase arrival, and builds up rapidly with the P wave. Because the damping energy function changes considerably at the onset of the P wave, it is used as a metric to track and pick the P ‐phase arrival time. The P PHASE P ICKER detects P ‐phase onset using the histogram method. Its performance is compared with picking techniques using short‐term‐average to long‐term‐average ratio, and a picking method that finds the first P ‐phase arrival time using the Akaike information criterion. A large set of records with various intensities and signal‐to‐noise ratios is used for testing the P PHASE P ICKER , and it is demonstrated that P PHASE P ICKER is able to more accurately pick the onset of genuine signals against the background noise and to correctly distinguish between whether the first arrival is a P wave (emergent or impulsive) or whether the signal is from a faulty sensor.

Bulletin of the Seismological Society of America↗

Food-web dynamics in a large river discontinuum

Nearly all ecosystems have been altered by human activities, and most communities are now composed of interacting species that have not co-evolved. These changes may modify species interactions, energy and material flows, and food-web stability. Although structural changes to ecosystems have been widely reported, few studies have linked such changes to dynamic food-web attributes and patterns of energy flow. Moreover, there have been few tests of food-web stability theory in highly disturbed and intensely managed freshwater ecosystems. Such synthetic approaches are needed for predicting the future trajectory of ecosystems, including how they may respond to natural or anthropogenic perturbations. We constructed flow food webs at six locations along a 386-km segment of the Colorado River in Grand Canyon (Arizona, USA) for three years. We characterized food-web structure and production, trophic basis of production, energy efficiencies, and interaction-strength distributions across a spatial gradient of perturbation (i.e., distance from Glen Canyon Dam), as well as before and after an experimental flood. We found strong longitudinal patterns in food-web characteristics that strongly correlated with the spatial position of large tributaries. Above tributaries, food webs were dominated by nonnative New Zealand mudsnails (62% of production) and nonnative rainbow trout (100% of fish production). The simple structure of these food webs led to few dominant energy pathways (diatoms to few invertebrate taxa to rainbow trout), large energy inefficiencies (i.e., <20% of invertebrate production consumed by fishes), and right-skewed interaction-strength distributions, consistent with theoretical instability. Below large tributaries, invertebrate production declined ∼18-fold, while fish production remained similar to upstream sites and comprised predominately native taxa (80–100% of production). Sites below large tributaries had increasingly reticulate and detritus-based food webs with a higher prevalence of omnivory, as well as interaction strength distributions more typical of theoretically stable food webs (i.e., nearly twofold higher proportion of weak interactions). Consistent with theory, downstream food webs were less responsive to the experimental flood than sites closest to the dam. We show how human-induced shifts to food-web structure can affect energy flow and interaction strengths, and we show that these changes have consequences for food-web function and response to perturbations.

Arizona↗

Evaluating methods to assess the body condition of female polar bears

An animal's body condition provides insight into its health, foraging success, and overall fitness. Measures of body composition including proportional fat content are useful indicators of condition. Isotopic dilution is a reliable non-destructive method for estimating the body composition of live mammals, but can require prolonged handling times. Alternatively, bioelectrical impedance analysis (BIA) has promise as a quick method for estimating the body composition of live mammals, but measurements can potentially be affected by field conditions. Body condition indices (BCI) and energy density models can also be used to assess body condition based on morphological measurements, but may not reliably reflect an animal's energy stores. Here we evaluate BIA, BCI, and an energy density model in measuring the energy stores of female polar bears ( Ursus maritimus ). We examine the relationship between total body fat (TBF) derived from isotopic dilution to these alternative methods for 9 female polar bears from 14 captures on the sea ice of the southern Beaufort Sea in April 2014–2016. An energy density model, BCI, and BIA-derived measures of TBF were poor predictors of TBF derived from isotopic dilution. We suggest energy density, BCI, and BIA may not be predictive of an animal's body fat at fine scales (e.g., among individuals within the same sex, reproductive status, and season). In particular, BIA should provide similar measures of body composition as isotopic dilution, but it failed to reliably measure TBF of individual bears. These limitations in the precision of body condition measures should be considered when planning future studies.

Ursus↗

Comparative ability of northern pintails, gadwalls, and northern shovelers to metabolize foods

Feeding trials were used to compare the ability of northern pintails ( Anas acuta ), gadwalls ( A. strepera ), and northern shovelers ( A. clypeata ) to metabolize energy from a turkey starter ration, alfalfa pellets, and common barnyardgrass ( Echinochloa crusgalli ) seeds. No differences (P > 0.05) were detected among the three species for any of the three foods (kg body weight/day basis), for dry matter intake (DMI), body weight gain (BWG), apparent metabolizable energy (AME), or metabolized energy (MEE) on any given diet consumed in quantities large enough to promote body weight gain. The AME content of alfalfa was 57% less than the value for turkey starter and 50% less than for barnyardgrass seeds. All three species metabolized more energy and gained weight faster when fed turkey starter. Energy modeling may be facilitated if additional research verifies that all species of dabbling ducks have equal ability to obtain energy from foods available to them in the wild. Behavioral and morphological factors may be more important in defining feeding niches than digestive physiology, at least for the three duck species tested, at the time of year of the experiments, and within the limits of the quality of foods used.

Journal of Wildlife Management↗

A framework for assessing the sustainability of monitored natural attenuation

The sustainability of monitored natural attenuation (MNA) over time depends upon (1) the presence of chemical/biochemical processes that transform wastes to innocuous byproducts, and (2) the availability of energy to drive these processes to completion. The presence or absence of contaminant-transforming chemical/biochemical processes can be determined by observing contaminant mass loss over time and space (mass balance). The energy available to drive these processes to completion can be assessed by measuring the pool of metabolizable organic carbon available in a system, and by tracing the flow of this energy to available electron acceptors (energy balance). For the special case of chlorinated ethenes in ground-water systems, for which a variety of contaminant-transforming biochemical processes exist, natural attenuation is sustainable when the pool of bioavailable organic carbon is large relative to the carbon flux needed to drive biodegradation to completion. These principles are illustrated by assessing the sustainability of MNA at a chlorinated ethene-contaminated site in Kings Bay, Georgia. Approximately 1,000 kilograms of perchloroethene (PCE) was released to a municipal landfill in the 1978-1980 timeframe, and the resulting plume of chlorinated ethenes migrated toward a nearby housing development. A numerical model, built using the sequential electron acceptor model code (SEAM3D), was used to quantify mass and energy balance in this system. The model considered the dissolution of non-aqueous phase liquid (NAPL) as the source of the PCE, and was designed to trace energy flow from dissolved organic carbon to available electron acceptors in the sequence oxygen > chlorinated ethenes > ferric iron > sulfate > carbon dioxide. The model was constrained by (1) comparing simulated and measured rates of ground-water flow, (2) reproducing the observed distribution of electron-accepting processes in the aquifer, (3) comparing observed and measured concentrations of chlorinated ethenes, and (4) reproducing the observed production and subsequent dilution of dissolved chloride, a final degradation product of chloroethene biodegradation. Simulations using the constrained model indicated that an average flux of 5 milligrams per liter per day of organic carbon (CH2O) per model cell (25 square meters) is required to support the short-term sustainability of MNA. Because this flux is small relative to the pool of renewable organic carbon (about 4.7 x 107 milligrams [mg] per model cell) present in the soil zone and non-renewable carbon (about 6.9 x 108 mg per model cell) in an organic-rich sediment layer overlying the aquifer, the long-term sustainability of MNA is similarly large. This study illustrates that the short- and long-term sustainability of MNA can be assessed by: 1. Estimating the time required for contaminants to dissolve/disperse/degrade under ambient hydrologic conditions (time of remediation). 2. Quantifying the organic carbon flux to the system needed to consume competing electron acceptors (oxygen) and direct electron flow toward chloroethene degradation (short-term sustainability). 3. Comparing the required flux of organic carbon to the pool of renewable and non-renewable organic carbon given the estimated time of remediation (long-term sustainability). These are general principles that can be used to assess the sustainability of MNA in any hydrologic system.

Circular↗

Assessment of undiscovered hydrocarbon resources of sub-Saharan Africa

Introduction The main objective of the U.S. Geological Survey&rsquo;s (USGS) National and Global Petroleum Assessment Project is to assess the potential for undiscovered, technically recoverable oil and natural gas resources of the United States and the world (U.S. Geological Survey World Conventional Resources Assessment Team, 2012). The USGS updated assessments that were completed during the USGS World Petroleum Assessment 2000 (U.S. Geological Survey World Energy Assessment Team, 2000) and conducted new assessments in areas around the world that were not previously examined (U.S. Geological Survey World Conventional Resources Assessment Team, 2012). These assessments used the latest geology-based assessment methodology for conventional oil and gas resources. The new assessments are available at the USGS website, ( http://energy.usgs.gov/OilGas/AssessmentsData/WorldPetroleumAssessment.aspx ) . As part of this project, the USGS assessed 13 geologic provinces located in sub-Saharan Africa (U.S. Geological Survey World Conventional Resources Assessment Team, 2012). Coastal provinces were extended offshore to water depths ranging from 2,000 to 4,000 meters (m). Within these 13 geologic provinces 18 assessment units (figs. 1, 2) were identified. The west Africa provinces are (1) the Senegal, containing the passive-margin Senegal Basin of Middle Jurassic to Holocene age; (2) the West African Coastal, characterized by rift, passive-margin, and transform tectonics; (3) the Gulf of Guinea, characterized by transform tectonics; (4) the Niger Delta, containing more than 9,100 m of sedimentary rock and recent sediments; (5) the West-Central Coastal, which contains the Aptian salt basin, is dominated by both rift and sag tectonics, and includes the Congo Basin; and (6) the Orange River Coastal, containing more than 7,000 m of syn-rift and post-rift sedimentary rock. The West African Coastal Province was assessed for the first time, whereas the other five west Africa provinces were reassessed for the 2012 World Oil and Wandrey Gas Resource Assessment (fig. 1 of U.S. Geological Survey World Conventional Resources Assessment Team, 2012). More than 275 new oil and gas fields have been discovered in the six west Africa provinces (IHS Energy, 2008, 2009) since the USGS World Petroleum Assessment in 2000 (U.S. Geological Survey World Energy Assessment Team, 2000). These provinces were assessed because of increased energy exploration activity and new oil and gas discoveries within the provinces. Seven provinces not assessed as part of the World Petroleum Assessment 2000 (U.S. Geological Survey World Energy Assessment Team, 2000) were assessed by the USGS as part of the World Assessment 2012 (U.S. Geological Survey World Conventional Resources Assessment Team, 2012). These provinces are (1) the Chad Province, containing Cretaceous and Cenozoic-age lacustrine, continental, and minor marine rocks; (2) the Sud Province, containing Cretaceous and Paleogene age lacustrine, continental, and minor marine rocks; (3) the South Africa Coastal Province, which contains rift, transform, and passive-margin rocks; (4) the Mozambique Coastal Province, containing rift, drift, and passive-margin rocks; (5) the Morondava Province, which contains failed rift, drift, and passive-margin rocks; (6) the Tanzania Coastal Province, containing rift, drift, and passive-margin rocks; and (7) the Seychelles Province, which contains rift and drift rocks. At the time of this assessment 157 oil and gas fields had been discovered in the seven provinces (IHS Energy, 2009). These provinces were assessed because of increased interest and new oil and gas discoveries within the provinces. The assessment was geology-based and used the total petroleum system (TPS) concept. The geologic elements of a TPS are hydrocarbon source rocks (source rock maturation and hydrocarbon generation and migration), reservoir rocks (quality and distribution), and traps where hydrocarbon accumulates. Using these geologic criteria, 16 conventional total petroleum systems and 18 assessment units in the 13 provinces were defined. The undiscovered, technically recoverable oil and gas resources were assessed for all assessment units.

Data Series↗

Seismic data collection from water gun and industrial background sources in the Chicago Sanitary and Ship Canal area, Illinois, 2011

The water gun is a tool adapted from deep marine geophysical surveys that is being evaluated for use as an acoustic fish deterrent to control the movement of invasive marine species. The water gun creates a seismic signal by using a compressed air discharge to move a piston rapidly within the water, resulting in an implosion. This energy pulse may be able to modify fish behavior or destroy marine life, such as the Asian carp, at some distance. The effects of this energy pulse on structures in the Chicago Sanitary and Ship Canal (CSSC), such as canal walls, shore lines, and lock structures, are not known. The potential effects of the use of a water gun on structures was identified as a concern in the CSSC and was assessed relative to existing background sources during this study. During September 2011, two water guns with piston sizes of 80 and 343 cubic inches, respectively, were tested in the CSSC at varying pressures and distances from a canal wall consisting of dolomite and dolomite setblock. Seismic data were collected during these water gun firings using geophones on land, in boreholes, and at the canal wall interface. Data were collected at varying depths in the canal water using hydrophones. Seismic data were also collected during the occurrences of barge traffic, railroad traffic located near the electric fish barrier in Lemont, and coal-loading operations at a coal power plant near the electric fish barrier. In general, energy produced by barge and railroad sources was less than energy created by the water gun. Energy levels produced by coal-loading operations at least 200 feet from geophones were approximately four times lower than energy levels measured during water gun operations.

Illinois↗

U.S. Geological Survey science for the Wyoming Landscape Conservation Initiative: 2011 annual report

This is the fourth report produced by the U.S. Geological Survey (USGS) for the Wyoming Landscape Conservation Initiative (WLCI) to detail annual work activities. In FY2011, there were 37 ongoing, completed, or new projects conducted under the five major multi-disciplinary science and technical-assistance activities: (1) Baseline Synthesis, (2) Targeted Monitoring and Research, (3) Data and Information Management, (4) Integration and Coordination, and (5) Decisionmaking and Evaluation. The four new work activities were (1) development of the Western Energy Citation Clearinghouse, a Web-based energy-resource database of references for literature and on-line resources focused on energy development and its effects on natural resources; (2) a study to support the Sublette County Conservation District in ascertaining potential water-quality impacts to the New Fork River from energy development in the Pinedale Anticline Project Area; (3) a study to test the efficacy of blending high-frequency temporal data provided by Moderate Resolution Imaging Spectroradiometer (MODIS) sensors and high-resolution Landsat data for providing the fine-resolution data required to evaluate habitat responses to management activities at the landscape level; and (4) a study to examine the seasonal water chemistry of Muddy Creek, including documenting salinity patterns and providing a baseline for assessing potential effects of energy and other development on water quality in the Muddy Creek watershed. Two work activities were completed in FY2011: (1) the assessment of rancher perceptions of energy development in Southwest Wyoming and (2) mapping aspen stands and conifer encroachment using classification and regression tree (CART) analysis for effectiveness monitoring. The USGS continued to compile data, develop geospatial products, and upgrade Web-based products in support of both individual and overall WLCI efforts, including (1) ranking and prioritizing proposed conservation projects, (2) developing the WLCI integrated assessment, (3) developing the WLCI 5-year Conservation Action Plan, and (4) continuing to upgrade the content and improve the functionality of the WLCI Web site. For the WLCI FY2012 annual report, a decision was made to greatly reduce the overall length of the annual report, which will be accomplished by simplifying the report format and focusing on the take-home messages of each work activity for WLCI partners.

Wyoming↗

A practical, low-noise coil system for magnetotellurics

Magnetotellurics is a geophysical technique which was developed by Cagnaird (1953) and Tikhonov (1950) and later refined by other scientists worldwide. The technique is a method of electromagnetic sounding of the Earth and is based upon the skin depth effect in conductive media. The electric and magnetic fields arising from natural sources are measured at the surface of the earth over broad frequency bands. An excellent review of the technique is provided in the paper by Vozoff (1972). The sources of the natural fields are found in two basic mechanisms. At frequencies above a few hertz, most of the energy arises from lightning in thunderstorm belts around the equatorial regions. This energy is propagated in a wave-guide formed by the earthionospheric cavity. Energy levels are higher at fundamental modes for this cavity, but sufficient energy exists over most of the audio range to be useful for sounding at these frequencies, in which case the technique is generally referred to as audio-magnetotellurics or AMT. At frequencies lower than audio, and in general below 1 Hz, the source of naturally occuring electromagnetic energy is found in ionospheric currents. Current systems flowing in the ionosphere generate EM waves which can be used in sounding of the earth. These fields generate a relatively complete spectrum of electromagnetic energy that extends from around 1 Hz to periods of one day. Figure 1 shows an amplitude spectrum characteristic of both the ionospheric and lightning sources, covering a frequency range from 0.0001 Hz to 1000 Hz. It can be seen that there is a minimum in signal levels that occurs at about 1 Hz, in the gap between the two sources, and that signal level increases with a decrease in frequency.

Open-File Report↗

New methodology for assessing underground natural gas storage resources – Example from Michigan Basin, United States

Energy consumption in the United States (U.S.) and across the world is shifting away from traditional fossil fuels like coal and oil, and towards natural gas and renewable sources, including hydrogen. Because gas demand is typically greatest during cold seasons and renewable sources sometimes produce variable supplies, it is important to store energy for use when demand exceeds supply. Whereas batteries and tanks typically store energy above ground, geologic (underground) storage may be able to retain much greater quantities of energy over much longer durations (e.g., Matos et al. 2019; Buursink et al. 2023). Consequently, the U.S. Geological Survey (USGS) is developing a methodology to locate new geologic energy storage sites with an initial focus on depleted hydrocarbon reservoirs followed by estimates of associated pore space or gas storage capacity. Depleted hydrocarbon fields in Michigan Basin in the U.S. already host large quantities of injected natural gas (about 681 billion cubic feet of seasonal gas capacity in 42 gas storage facilities; U.S. Energy Information Administration 2024). Therefore, we used this basin as an example to assess potential new storage resources alongside existing storage capacity and carbon dioxide sequestration resources (e.g., Katz and Coats 1968; Haagsma et al. 2020). In Michigan Basin gas storage is taking place in reservoirs within several key hydrocarbon producing formations with different lithologies, including the informal Stray sandstone of the Michigan Formation and the pinnacle reefs of the Niagara Group (Gautier et al. 1995; Swezey et al. 2015). The assessment methodology introduced here consists of two steps relying on both well information and reservoir data.

Michigan↗

Learning to be different: Acquired skills, social learning, frequency dependence, and environmental variation can cause behaviourally mediated foraging specializations

Question: How does the ability to improve foraging skills by learning, and to transfer that learned knowledge, affect the development of intra-population foraging specializations? Features of the model: We use both a state-dependent life-history model implemented by stochastic dynamic programming (SDPM) and an individual-based model (IBM) to capture the dynamic nature of behavioural preferences in feeding. Variables in the SDPM include energy reserves, skill levels, energy and handling time per single prey item, metabolic rate, the rates at which skills are learned and forgotten, the effect of skills on handling time, and the relationship between energy reserves and fitness. Additional variables in the IBM include the probability of successful weaning, the logistic dynamics of the prey species with stochastic recruitment, the intensity of top-down control of prey by predators, the mean and variance in skill levels of new recruits, and the extent to which learned Information can be transmitted via matrilineal social learning. Key range of variables: We explore the effects of approaching the time horizon in the SDPM, changing the extent to which skills can improve with experience, increasing the rates of learning or forgetting of skills, changing whether the learning curve is constant, accelerating (T-shaped) or decelerating ('r'-shaped), changing both mean and maximum possible energy reserves, changing metabolic costs of foraging, and changing the rate of encounter with prey. Conclusions: The model results show that the following factors increase the degree of prey specialization observed in a predator population: (1) Experience handling a prey type can substantially improve foraging skills for that prey. (2) There is limited ability to retain complex learned skills for multiple prey types. (3) The learning curve for acquiring new foraging skills is accelerating, or J-shaped. (4) The metabolic costs of foraging are high relative to available energy reserves. (5) Offspring can learn foraging skills from their mothers (matrilineal social learning). (6) Food abundance is limited, such that average individual energy reserves are low Additionally, the following factors increase the likelihood of alternative specializations co-occurring in a predator population: (1) The predator exerts effective top-down control of prey abundance, resulting in frequency-dependent dynamics. (2) There is stochastic Variation in prey population dynamics, but this Variation is neither too extreme in magnitude nor too 'slow' with respect to the time required for an individual forager to learn new foraging skills. For a given predator population, we deduce that the degree of specialization will be highest for those prey types requiring complex capture or handling skills, while prey species that are both profitable and easy to capture and handle will be included in the diet of all individuals. Frequency-dependent benefits of selecting alternative prey types, combined with the ability of foragers to improve their foraging skills by learning, and transmit learned skills to offspring, can result in behaviourally mediated foraging specialization, and also lead to the co-existence of alternative specializations. The extent of such specialization is predicted to be a variable trait, increasing in locations or years when intra-specific competition is high relative to inter-specific competition. ?? 2009 M. Tim Tinker.

Evolutionary Ecology Research↗