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Diet energy density estimated from isotopes in predator hair associated with survival, habitat, and population dynamics

Sea ice loss is fundamentally altering the Arctic marine environment. Yet there is a paucity of data on the adaptability of food webs to ecosystem change, including predator-prey interactions. Polar bears ( Ursus maritimus ) are an important subsistence resource for Indigenous people and an apex predator that relies entirely on the under-ice food web to meet their energy needs. Here, we assessed whether polar bears maintained dietary energy density by prey switching in response to spatial-temporal variation in prey availability. We compared the macronutrient composition of diets inferred from stable carbon and nitrogen isotopes in polar bear guard hair (primarily representing summer/fall diet) during periods when bears had low and high survival 2004-2016, between bears that summered on land versus pack ice, and between bears occupying different regions of the Alaskan and Canadian Beaufort Sea. Polar bears consumed diets with lower energy density during periods of low survival suggesting that concurrent increased dietary proportions of beluga whales ( Delphinapterus leucas ) did not offset reduced proportions of ringed seals ( Pusa hispida ). Diets with the lowest energy density and proportions from ringed seal blubber were consumed by bears in the western Beaufort Sea (Alaska) during a period when polar bear abundance declined. Intake required to meet energy requirements of an average free-ranging adult female polar bear was 2.1 kg/day on diets consumed during years with high survival but rose to 3.0 kg/day when survival was low. Although bears that summered onshore in the Alaskan Beaufort Sea had higher fat diets than bears that summered on the pack ice, access to the remains of subsistence-harvested bowhead whales ( Balaena mysticetus ) contributed little to improving diet energy density. Because most bears in this region remain with the sea ice year-round, prey-switching and consumption of whale carcasses onshore appear insufficient to augment diets when availability of their primary prey, ringed seals, is reduced. Our results show that a strong predator-prey relationship between polar bears and ringed seals continues in the Beaufort Sea. The method of estimating dietary blubber using predator hair, demonstrated here, provides a new metric to monitor predator-prey relationships that affect individual health and population demographics.

Ecological Applications

Variable effects of wind-energy development on seasonal habitat selection of pronghorn

In the face of climate change, wind energy represents an important alternative to oil and gas extraction to meet increasing energy demands, but it has the potential to disrupt wildlife populations. Because behavioral adjustments, such as altered habitat selection, are a primary way that long-lived species respond to novel disturbances, we evaluated effects of wind energy development on pronghorn ( Antilocapra americana ) space use and habitat selection. Using data from GPS-collared female pronghorn in the Shirley Basin of south-central Wyoming, USA, we tested four potential effects of wind turbines on pronghorn space use during the summer and winter: (1) displacement away from wind turbines, (2) increase in size of home ranges, (3) short-term avoidance behavior within home ranges, and (4) changes in avoidance behavior within home ranges over time. We monitored 166 individuals over five summers (2010, 2011, 2018, 2019, and 2020) and 142 individuals over five winters (2009/2010, 2010/2011, 2011/2012, 2018/2019, and 2019/2020) and used resource selection functions to evaluate selection relative to turbines after controlling for other habitat factors, such as snow depth. Although a lack of consistent negative effects of wind turbines on pronghorn across years suggested that wind energy development may have less severe and more intermittent effects on pronghorn than oil and gas development has had on other ungulates, there was a trend toward increased displacement during the study and behavioral avoidance was apparent for individuals in close proximity to turbines. However, pronghorn were highly variable in their fine-scale habitat selection, across both individuals and years, which could make effects of wind energy development difficult to detect. Nevertheless, some individuals, particularly those close to wind-energy facilities, did avoid turbines, which could translate to population-level behavioral or demographic changes over time and affect the resilience and stability of the population. Over time, the accumulation of development, including wind turbines, roads, and fences, can both limit movement and fragment habitat, potentially reaching a critical threshold beyond which populations are negatively impacted.

Wyoming

Sustainability of utility-scale solar energy – critical ecological concepts

Renewable energy development is an arena where ecological, political, and socioeconomic values collide. Advances in renewable energy will incur steep environmental costs to landscapes in which facilities are constructed and operated. Scientists – including those from academia, industry, and government agencies – have only recently begun to quantify trade-offs in this arena, often using ground-mounted, utility-scale solar energy facilities (USSE, ≥1 megawatt) as a model. Here, we discuss five critical ecological concepts applicable to the development of more sustainable USSE with benefits over fossil-fuel-generated energy: (1) more sustainable USSE development requires careful evaluation of trade-offs between land, energy, and ecology; (2) species responses to habitat modification by USSE vary; (3) cumulative and large-scale ecological impacts are complex and challenging to mitigate; (4) USSE development affects different types of ecosystems and requires customized design and management strategies; and (5) long-term ecological consequences associated with USSE sites must be carefully considered. These critical concepts provide a framework for reducing adverse environmental impacts, informing policy to establish and address conservation priorities, and improving energy production sustainability.

Frontiers in Ecology and the Environment

Caribou use of habitat near energy development in Arctic Alaska

Increasing demands for energy have generated interest in expanding oil and gas production on the North Slope of Alaska, raising questions about the resilience of barren-ground caribou populations to new development. Although the amount of habitat lost directly to energy development in the Arctic will likely be relatively small, there are significant concerns about habitat that may be indirectly impacted due to caribou avoidance behaviors. Behavioral responses to energy development for wildlife have been well-documented, but such responses are often assumed to dissipate over time, despite scant information on the ability of animals to habituate. To understand the long-term effects of energy development on barren-ground caribou we investigated the behavior of the Central Arctic Herd in northern Alaska, which has been exposed to oil development on its summer range for approximately 40 years. Using recent (2015-2017) location data from GPS collared females, we conducted a zone of influence analysis to assess whether caribou reduced their use of habitat near energy development, and if so, the distance the effects attenuated. We conducted this analysis for the calving, post-calving and mosquito harassment periods when caribou exhibit distinct resource selection patterns, and contrasted our results to past research that investigated the responses of the Central Arctic Caribou Herd immediately following the construction of the oil fields. Despite the long-term presence of energy development within the Central Arctic Herd summer range, we found that female caribou exhibited avoidance responses to infrastructure during all time periods, although the effects waned across the summer. Caribou reduced their use of habitat within 5 km of development during the calving period, within 2 km during the post-calving period, and within 1 km during the mosquito harassment period, areas which were predicted to overlap 12%, 15% and 17% of important calving, post-calving, and mosquito habitat areas, respectively. During the calving period, the indirect effects we observed were similar to those observed in past research, whereas during the post-calving and mosquito periods, we detected avoidance responses which had not been previously reported. These findings corroborate a growing body of evidence suggesting that habituation to industrial development in Arctic caribou is likely to be weak or absent, and emphasizes the value of minimizing the footprint of infrastructure within important seasonal habitat areas to reduce behavioral impacts to barren-ground caribou.

Alaska

Prairie grouse and wind energy: The state of the science and implications for risk assessment

How to shape the anticipated build-out of industrial-scale renewable energy in a way that minimizes risk to wildlife remains contentious. This challenge is well-illustrated in the grasslands and shrub-steppe of North America. Here, several endemic species of grouse are the focus of intensive, long-term conservation action by a host of governmental and non-governmental entities, many of whom are now asking: will anticipated increases in the number of wind-energy facilities exacerbate declines or prevent recovery of these species? To help answer this question, we synthesized the potential consequences of wind-energy development on prairie grouse. Published literature on behavior or demography of prairie-grouse at wind-energy facilities is sparse, with studies having been conducted at only 5 different facilities in the United States. Only two of these studies met the standard for robust impact analysis by collecting pre-construction data and using control sites or gradient designs. Published results from only one of the species Greater Prairie-Chicken were available for >1 facility. Most studies also drew conclusions based on short (<4 years) periods of study, which is potentially problematic when studying these highly philopatric species. Given these caveats, we found that, in the short-term, adult survival and nest success appear largely unaffected in populations exposed to wind-energy facilities. However, changes in habitat use by female Greater Sage-Grouse and female Greater Prairie-Chicken during some seasons and reduced lek persistence among male Greater Prairie-Chickens near wind turbines suggest behavioral responses that may have demographic consequences. Prairie grouse can coexist with wind-energy facilities in some cases, at least in the short term, but important uncertainties remain, including the potential for long-term, cumulative effects of the extensive development expected as states attempt to meet goals for generating electricity from renewable sources.

Wildlife Society Bulletin

Rayleigh-wave dispersive energy imaging using a high-resolution linear radon transform

Multichannel Analysis of Surface Waves (MASW) analysis is an efficient tool to obtain the vertical shear-wave profile. One of the key steps in the MASW method is to generate an image of dispersive energy in the frequency-velocity domain, so dispersion curves can be determined by picking peaks of dispersion energy. In this paper, we propose to image Rayleigh-wave dispersive energy by high-resolution linear Radon transform (LRT). The shot gather is first transformed along the time direction to the frequency domain and then the Rayleigh-wave dispersive energy can be imaged by high-resolution LRT using a weighted preconditioned conjugate gradient algorithm. Synthetic data with a set of linear events are presented to show the process of generating dispersive energy. Results of synthetic and real-world examples demonstrate that, compared with the slant stacking algorithm, high-resolution LRT can improve the resolution of images of dispersion energy by more than 50%. ?? Birkhaueser 2008.

Pure and Applied Geophysics

Home in the heat: Dramatic seasonal variation in home range of desert golden eagles informs management for renewable energy development

Renewable energy is expanding quickly with sometimes dramatic impacts to species and ecosystems. To understand the degree to which sensitive species may be impacted by renewable energy projects, it is informative to know how much space individuals use and how that space may overlap with planned development. We used global positioning system&ndash;global system for mobile communications (GPS-GSM) telemetry to measure year-round movements of golden eagles ( Aquila chrysaetos ) from the Mojave Desert of California, USA. We estimated monthly space use with adaptive local convex hulls to identify the temporal and spatial scales at which eagles may encounter renewable energy projects in the Desert Renewable Energy Conservation Plan area. Mean size of home ranges was lowest and least variable from November through January and greatest in February&ndash;March and May&ndash;August. These monthly home range patterns coincided with seasonal variation in breeding ecology, habitat associations, and temperature. The expanded home ranges in hot summer months included movements to cooler, prey-dense, mountainous areas characterized by forest, grasslands, and scrublands. Breeding-season home ranges (October&ndash;May) included more lowland semi-desert and rock vegetation. Overlap of eagle home ranges and focus areas for renewable energy development was greatest when eagle home ranges were smallest, during the breeding season. Golden eagles in the Mojave Desert used more space and a wider range of habitat types than expected and renewable energy projects could affect a larger section of the regional population than was previously thought.

California

Reservoir thermal energy storage pre-assessment for the United States

Storing thermal energy underground for later use in electricity production or direct-use heating/cooling is a promising, viable, and economical green energy option. Reservoir thermal energy storage (RTES) is one such option, which stores energy in underutilized permeable strata with low ambient groundwater flow rates and more geochemically evolved (e.g. brackish/saline) waters relative to overlying principal aquifer systems. The U.S. Geological Survey has begun assessing RTES potential nationally by focusing on five generalized geologic regions (Basin and Range, Coastal Plain, Illinois Basin, Michigan Basin, Pacific Northwest) across the United States. Hydrogeologic reservoir models are developed for the following eight metropolitan area cities within those regions to evaluate RTES performance across different climates and subsurface conditions: Albuquerque, New Mexico; Charleston, South Carolina; Chicago and Decatur, Illinois; Lansing, Michigan; Memphis, Tennessee; Phoenix, Arizona; and Portland, Oregon. Evaluated metrics include estimated required well spacing, thermal storage capacity, and thermal recovery efficiency through time. Also considered for each reservoir are potential complicating factors, including reservoir depth, thermally driven free convection, and groundwater salinity. This work focuses on direct-use cooling because the need for cooling modern office buildings greatly exceeds that for heating in most parts of the country (Falta and others, 2016); however, the evaluated metrics are also relevant to heating and electricity applications. Results indicate that favorable RTES conditions exist in each region, with the Coastal Plain and Basin and Range being especially favorable for thermal storage capacity, while the Pacific Northwest and Michigan Basin excel at energy recovery for the evaluated cooling application. The results underscore the utility of developing maps of thermal storage capacity, subsurface temperature models, and volumetric estimates of thermal storage capacity to serve as key RTES resource classification standards. Overall, this pre-assessment provides a basic understanding of RTES potential in several cities and geologic regions throughout the country and will aid ongoing thermal energy storage assessment efforts.

Arizona, Illinois, Michigan, New Mexico, Oregon, S

Distribution of stress drop, stiffness, and fracture energy over earthquake rupture zones

Using information provided by slip models and the methodology of McGarr and Fletcher (2002), we map static stress drop, stiffness (k = ????/u, where ???? is static stress drop and u is slip), and fracture energy over the slip surface to investigate the earthquake rupture process and energy budget. For the 1994 M6.7 Northridge, 1992 M7.3 Landers, and 1995 M6.9 Kobe earthquakes, the distributions of static stress drop show strong heterogeneity, emphasizing the importance of asperities in the rupture process. Average values of static stress drop are 17, 11, and 4 Mpa for Northridge, Landers, and Kobe, respectively. These values are substantially higher than estimates based on simple crack models, suggesting that the failure process involves the rupture of asperities within the larger fault zone. Stress drop as a function of depth for the Northridge and Landers earthquakes suggests that stress drops are limited by crustal strength. For these two earthquakes, regions of high slip are surrounded by high values of stiffness. Particularly for the Northridge earthquake, the prominent patch of high slip in the central part of the fault is bordered by a ring of high stiffness and is consistent with expectations based on the failure of an asperity loaded at its edge due to exterior slip. Stiffness within an asperity is inversely related to its dimensions. Estimates of fracture energy, based on static stress drop, slip, and rupture speed, were used to investigate the nature of slip weakening at four locations near the hypocenter of the Kobe earthquake for comparison with independent results based on a dynamic model of this earthquake. One subfault updip and to the NE of the hypocenter has a fracture energy of 1.1 MJ/m2 and a slip-weakening distance, Dc, of 0.66 m. Right triangles, whose base and height are Dc and the dynamic stress drop, respectively, approximately overlie the slip-dependent stress given by Ide and Takeo (1997) for the same locations near the hypocenter. The total fracture energy for the Kobe earthquake, 3.7 ?? 1014 J, is about the same as the seismic energy (Ea = 3.2 ?? 1014 J.

Journal of Geophysical Research B: Solid Earth

Influence of welded boundaries in anelastic media on energy flow, and characteristics of P, S-I, and S-II waves: Observational evidence for inhomogeneous body waves in low-loss solids

A general computer code, developed to calculate anelastic reflection-refraction coefficients, energy flow, and the physical characteristics for general P , S -I, and S -II waves, quantitatively describes physical characteristics for wave fields in anelastic media that do not exist in elastic media. Consideration of wave fields incident on boundaries between anelastic media shows that scattered wave fields experience reductions in phase and energy speeds, increases in maximum attenuation and Q −1 , and directions of maximum energy flow distinct from phase propagation. Each of these changes in physical characteristics are shown to vary with angle of incidence. Finite relaxation times for anelastic media result in energy flow due to interaction of superimposed radiation fields and contribute to energy flow across anelastic boundaries for all angles of incidence. Agreement of theoretical and numerical results with laboratory measurements argues for the validity of the theoretical and numerical formulations incorporating inhomogeneous wave fields. The agreement attests to the applicability of the model and helps confirm the existence of inhomogeneous body waves and their associated set of distinct physical characteristics in the earth. The existence of such body waves in layered, low-loss anelastic solids implies the need to reformulate some seismological models of the earth. The exact anelastic formulation for a liquid-solid interface with no low-loss approximations predicts the existence of a range of angles of incidence or an anelastic Rayleigh window, through which significant amounts of energy are transmitted across the boundary. The window accounts for the discrepancy apparent between measured reflection data presented in early textbooks and predictions based on classical elasticity theory. Characteristics of the anelastic Rayleigh window are expected to be evident in certain sets of wide-angle, ocean-bottom reflection data and to be useful in estimating Q −1 for some ocean bottom reflectors.

Journal of Geophysical Research B: Solid Earth

Trade-offs between energy maximization and parental care in a central place forager, the sea otter

Between 1999 and 2014, 126 archival time–depth recorders (TDRs) were used to examine the foraging behavior of southern sea otters ( Enhydra lutris nereis ) off the coast of California, in both resource-abundant (recently occupied, low sea otter density) and resource-limited (long-occupied, high sea otter density) locations. Following predictions of foraging theory, sea otters generally behaved as energy rate maximizers. Males and females without pups employed similar foraging strategies to optimize rates of energy intake in resource-limited habitats, with some exceptions. Both groups increased overall foraging effort and made deeper, longer and more energetically costly dives as resources became limited, but males were more likely than females without pups to utilize extreme dive profiles. In contrast, females caring for young pups (≤10 weeks) prioritized parental care over energy optimization. The relative importance of parental care versus energy optimization for adult females with pups appeared to reflect developmental changes as dependent young matured. Indeed, contrary to females during the initial stages of lactation, females with large pups approaching weaning once again prioritized optimizing energy intake. The increasing prioritization of energy optimization over the course of lactation was possible due to the physiological development of pups and likely driven by the energetic deficit incurred by females early in lactation. Our results suggest that regardless of resource availability, females at the end of lactation approach a species-specific ceiling for percent time foraging and that reproductive females in the central portion of the current southern sea otter range are disproportionately affected by resource limitation.

Behavioral Ecology

Effects of disturbance on contribution of energy sources to growth of juvenile chinook salmon (Oncorhynchus tshawytscha) in boreal streams

We used stable isotopes of carbon in a growth-dependent tissue-turnover model to quantify the relative contribution of autochthonous and terrestrial energy sources to juvenile chinook salmon (Oncorhynchus tshawytscha) in five small boreal streams tributary to the upper Yukon River. We used a tissue-turnover model because fish did not grow enough to come into isotopic equilibrium with their diet. In two streams, autochthonous energy sources contributed 23 and 41% to the growth of juvenile salmon. In the other three, fish growth was largely due to terrestrial (i.e., allochthonous) energy sources. This low contribution of autochthonous energy appeared to be related to stream-specific disturbances: a recent forest fire impacted two of the streams and the third was affected by a large midsummer spate during the study. These disturbances reduced the relative abundance of herbivorous macroinvertebrates, the contribution of autochthonous material to other invertebrates, and ultimately, the energy flow between stream algae and fish. Our findings suggest that disturbances to streams can be an important mechanism affecting transfer of primary energy sources to higher trophic levels.

Canadian Journal of Fisheries and Aquatic Sciences

Changes in seasonal energy dynamics of alewife ( Alosa pseudoharengus ) in Lake Michigan after invasion of dreissenid mussels

The dreissenid mussel invasion of Lake Michigan during the 1990s has been linked to a concomitant decrease in the abundance of the amphipod Diporeia . We tracked the seasonal energy dynamics of alewife ( Alosa pseudoharengus ) in Lake Michigan during 2002&ndash;2004 and compared our findings with previously published results for years 1979&ndash;1981. Adult alewife energy density exhibited a pronounced seasonal cycle during both the pre-invasion and post-invasion periods, with energy density in October or November nearly twice as high as that in early summer. However, on average, adult alewife energy density was 23% lower during the post-invasion period compared with the pre-invasion period. This significant decline in energy density was attributable to decreased importance of Diporeia in adult alewife diet. In contrast, energy density of juvenile alewives did not significantly differ between the pre-invasion and post-invasion periods. To attain a weight of 8 kg by age 4, bioenergetics modeling indicated that a Chinook salmon ( Oncorhynchus tshawytscha ) in Lake Michigan would have to consume 22.1% more alewives during the post-invasion period compared with the pre-invasion period.

Canadian Journal of Fisheries and Aquatic Sciences

Modeling effects of crop production, energy development and conservation-grassland loss on avian habitat

Birds are essential components of most ecosystems and provide many services valued by society. However, many populations have undergone striking declines as their habitats have been lost or degraded by human activities. Terrestrial grasslands are vital habitat for birds in the North American Prairie Pothole Region (PPR), but grassland conversion and fragmentation from agriculture and energy-production activities have destroyed or degraded millions of hectares. Conservation grasslands can provide alternate habitat. In the United States, the Conservation Reserve Program (CRP) is the largest program maintaining conservation grasslands on agricultural lands, but conservation grasslands in the PPR have declined by over 1 million ha since the program’s zenith in 2007. We used an ecosystem-services model (InVEST) parameterized for the PPR to quantify grassland-bird habitat remaining in 2014 and to assess the degradation status of the remaining grassland-bird habitat as influenced by crop and energy (i.e., oil, natural gas, and wind) production. We compared our resultant habitat-quality ratings to grassland-bird abundance data from the North American Breeding Bird Survey to confirm that ratings were related to grassland-bird abundance. Of the grassland-bird habitat remaining in 2014, about 19% was degraded by crop production that occurred within 0.1 km of grassland habitats, whereas energy production degraded an additional 16%. We further quantified the changes in availability of grassland-bird habitat under various land-cover scenarios representing incremental losses (10%, 25%, 50%, 75%, and 100%) of CRP grasslands from 2014 levels. Our model identified 1 million ha (9%) of remaining grassland-bird habitat in the PPR that would be lost or degraded if all CRP conservation grasslands were returned to crop production. Grassland regions world-wide face similar challenges in maintaining avian habitat in the face of increasing commodity and energy production to sate the food and energy needs of a growing world population. Identifying ways to model the impacts of the tradeoff between food and energy production and wildlife production is an important step in creating solutions.

Prairie Pothole Region

Numbers of wildlife fatalities at renewable energy facilities in a targeted development region

Increased interest in renewable energy has fostered development of wind and solar energy facilities globally. However, energy development sometimes has negative environmental impacts, such as wildlife fatalities. Efforts by regional land managers to balance energy potential while minimizing fatality risk currently rely on datasets that are aggregated at continental, but not regional scales, that focus on single species, or that implement meta-analyses that inappropriately use inferential statistics. We compiled and summarized fatality data from 87 reports for solar and wind facilities in the Mojave and Sonoran Deserts region of southern California within the Desert Renewable Energy Conservation Plan area. Our goal was to evaluate potential temporal and guild-specific patterns in fatalities, especially for priority species of conservation concern. We also aimed to provide a perspective on approaches interpreting these types of data, given inherent limitations in how they were collected. Mourning doves ( Zenaida macroura ), Chukar ( Alectoris chukar ) and California Quail ( Callipepla californica ), and passerines ( Passeriformes ), accounted for the most commonly reported fatalities. However, our aggregated count data were derived from raw, uncorrected totals, and thus reflect an absolute minimum number of fatalities for the monitored period. Additionally, patterns in the raw data suggested that many species commonly documented as fatalities (e.g., waterbirds and other nocturnal migrants, bats) are rarely counted during typical pre-construction use surveys. This may explain the more commonly observed mismatch between pre-construction risk assessment and actual fatalities. Our work may serve to guide design of future scientific research to address temporal and spatial patterns in fatalities and to apply rigorous guild-specific survey methodologies to estimate populations at risk from renewable energy development.

California

Utilizing high-resolution genetic markers to track population-level exposure of migratory birds to renewable energy development

With new motivation to increase the proportion of energy demands met by zero-carbon sources, there is a greater focus on efforts to assess and mitigate the impacts of renewable energy development on sensitive ecosystems and wildlife, of which birds are of particular interest. One challenge for researchers, due in part to a lack of appropriate tools, has been estimating the effects from such development on individual breeding populations of migratory birds. To help address this, we utilize a newly developed, high-resolution genetic tagging method to rapidly identify the breeding population of origin of carcasses recovered from renewable energy facilities and combine them with maps of genetic variation across geographic space (called ‘genoscapes’) for five species of migratory birds known to be exposed to energy development, to assess the extent of population-level effects on migratory birds. We demonstrate that most avian remains collected were from the largest populations of a given species. In contrast, those remains from smaller, declining populations made up a smaller percentage of the total number of birds assayed. Results suggest that application of this genetic tagging method can successfully define population-level exposure to renewable energy development and may be a powerful tool to inform future siting and mitigation activities associated with renewable energy programs.

PLOS Sustainability and Transformation

Daily energy expenditures of free-ranging Common Loon ( Gavia immer ) chicks

We measured the daily energy expenditure of free-living Common Loon ( Gavia immer ) chicks using doubly labeled water (DLW). Average body mass of chicks during the DLW measures were 425, 1,052, and 1,963 g for 10 day-old ( n = 5), 21 day-old ( n = 6), and 35 day-old ( n = 6) chicks, respectively, and their mean daily energy expenditures (DEE) were 686 kJ day −1 , 768 kJ day −1 , and 1,935 kJ day −1 , respectively. Variation in DEE was not due solely to variation in body mass, but age was also a significant factor independent of body mass. Energy deposited in new tissue was calculated from age-dependent tissue energy contents and measured gains in body mass, which were 51, 54, and 33 g day −1 from the youngest to oldest chicks. Metabolizable energy (the sum of DEE and tissue energy) was used to estimate feeding rates of loon chicks and their exposure to mercury in the fish they consume. We calculated that loon chicks in Wisconsin consumed between 162 and 383 g wet mass of fish per day (depending on age), corresponding to intakes of mercury of 16–192 μg day −1 .

The Auk

The radiated seismic energy and apparent stress of interplate and intraplate earthquakes at subduction zone environments; implications for seismic hazard estimation

The radiated seismic energies (ES) of 980 shallow subduction-zone earthquakes with magnitudes ? 5.8 are used to examine global patterns of energy release and apparent stress. In contrast to traditional methods which have relied upon empirical formulas, these energies are computed through direct spectral analysis of broadband seismic waveforms. Energy gives a physically different measure of earthquake size than moment. Moment, being derived from the low-frequency asymptote of the displacement spectra, is related to the final static displacement. Thus, moment is crucial to the long-term tectonic implication of an earthquake. In contrast, energy, being derived from the velocity power spectra, is more a measure of seismic potential for damage to anthropogenic structures. There is considerable scatter in the plot of ES-M0 for worldwide earthquakes. For any given M0, the ES can vary by as much as an order of magnitude about the mean regression line. The global variation between ES and M0, while large, is not random. When subsets of ES-M0 are plotted as a function of seismic region, tectonic setting and faulting type, the scatter in data is often substantially reduced. There are two profound implications for the estimation of seismic and tsunamic hazard. First, it is now feasible to characterize the apparent stress for particular regions. Second, a given M0 does not have a unique ES. This means that M0 alone is not sufficient to describe all aspects of an earthquake. In particular, we have found examples of interplate thrust-faulting earthquakes and intraslab normal-faulting earthquakes occurring in the same epicentral region with vastly different macroseismic effects. Despite the gross macroseismic disparities, the MW?s in these examples were identical. However, the Me?s (energy magnitudes) successfully distinguished the earthquakes that were more damaging.

Open-File Report