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At least 19 recordsLinked to original sources

A method for mapping apparent stress and energy radiation applied to the 1994 Northridge earthquake fault zone

Using the Northridge earthquake as an example, we demonstrate a new technique able to resolve apparent stress within subfaults of a larger fault plane. From the model of Wald et al. (1996), we estimated apparent stress for each subfault using τ a = (G/β)<Ḋ>/2 where G is the modulus of rigidity, β is the shear wave speed, and <Ḋ> is the average slip rate. The image of apparent stress mapped over the Northridge fault plane supports the idea that the stresses causing fault slip are inhomogeneous, but limited by the strength of the crust. Indeed, over the depth range 5 to 17 km, maximum values of apparent stress for a given depth interval agree with τ a (max)=0.06S(z), where S is the laboratory estimate of crustal strength as a function of depth z. The seismic energy from each subfault was estimated from the product τ a DA, where A is subfault area and D its slip. Over the fault zone, we found that the radiated energy is quite variable spatially, with more than 50% of the total coming from just 15% of the subfaults.

Geophysical Research Letters

Review of indicators for comparing environmental effects across energy sources

Robust, quantitative comparisons of environmental effects across energy sources can support development of energy planning strategies that meet growing demand while managing and minimizing undesirable effects on environmental resources. Multicriteria analyses of energy systems often use a suite of indicators to make such comparisons, but those indicators and their units of measure vary among studies. We reviewed 179 papers that described or applied energy indicators to compare environmental effects of different primary energy sources to answer four questions: (1) what environmental indicators have been used in multicriteria energy-source comparisons? (2) across studies, how consistently are these indicators used to quantify effects? (3) to what degree are different effects accounted for across energy sources and locations? and (4) how comprehensive are indicators in terms of assessing known environmental effects? For reviewed studies, we quantified the number of unique indicators and the diversity of indicators used to measure different effects. We also recorded the specific measurement units applied to quantify each indicator, the energy sources evaluated, and the continent where each study was conducted. While we found that many environmental effects of energy development have been analyzed across multiple sources, indicators were frequently measured, interpreted, and applied in ways that are not directly comparable, and some known environmental effects were infrequently assessed. We also found an emphasis on applying indicators to renewable energy sources; assessing current and potential energy sources, both renewable and nonrenewable, would greatly clarify the full suite of tradeoffs among sources and can inform energy development strategies that minimize adverse environmental effects. Overall, our review indicated that making comprehensive comparisons of the effects of energy development across sources may require efforts to standardize how effects are measured, synthesize effects literature into an open-source database, expand the range of environmental effects analyzed, and establish consistent frameworks for comparison.

Environmental Research Letters

Useful ion yields for Cameca IMS 3f and 6f SIMS: Limits on quantitative analysis

The useful yields (ions detected/atom sputtered) of major and trace elements in NIST 610 glass were measured by secondary ion mass spectrometry (SIMS) using Cameca IMS 3f and 6f instruments. Useful yields of positive ions at maximum transmission range from 10-4 to 0.2 and are negatively correlated with ionization potential. We quantified the decrease in useful yields when applying energy filtering or high mass resolution techniques to remove molecular interferences. The useful yields of selected negative ions (O, S, Au) in magnetite and pyrite were also determined. These data allow the analyst to determine if a particular analysis (trace element contents or isotopic ratio) can be achieved, given the amount of sample available and the conditions of the analysis. ?? 2005 Elsevier B.V. All rights reserved.

Chemical Geology

Tales from a distant swamp: Petrological and paleobotanical clues for the origin of the sand coal lithotype (Mississippian, Valley Fields, Virginia)

Tournasian (Mississippian) Price Formation semianthracites (Rmax = 2.40%) in the Valley Fields of southwestern Virginia contain a lithotype described in an early-20th-century report as a "sand" coal. The Center for Applied Energy Research inherited a collection of coals containing sand coal specimens, making it possible to study the lithotype from the long-closed mines. The sand coal consists of rounded quartz sand and maceral assemblages (secretinite, corpogelinite, and rounded collotelinite) along with banded collotelinite, vitrodetrinite, and inertodetrinite assemblages. The association of rounded macerals and similar-size quartz grains suggests transport. Oxidation rims surrounding the rounded collotelinite provides further evidence for transport. Due to the semianthracite rank, palynology could not be performed. Stratigraphic evidence indicates that the Lepidodendropsis flora would have been the dominant mire vegetation. Pteridosperms in this assemblage could have contributed resin rodlets, subsequently metamorphosed to collogelinite or secretinite. While a resin rodlet origin is an intriguing possibility for the origin of the rounded macerals (at least some of the rounded maceral, the rounded collotelinite clearly has a different origin), we cannot definitively prove this origin. ?? 2008 Elsevier B.V. All rights reserved.

International Journal of Coal Geology

Characterization and modes of occurrence of elements in feed coal and coal combustion products from a power plant utilizing low-sulfur coal from the Powder River Basin, Wyoming

The U.S. Geological Survey and the University of Kentucky Center for Applied Energy Research are collaborating with an Indiana utility company to determine the physical and chemical properties of feed coal and coal combustion products from a coal-fired power plant. The Indiana power plant utilizes a low-sulfur (0.23 to 0.47 weight percent S) and lowash (4.9 to 6.3 weight percent ash) subbituminous coal from the Wyodak-Anderson coal zone in the Tongue River Member of the Paleocene Fort Union Formation, Powder River Basin, Wyoming. Based on scanning electron microscope and X-ray diffraction analyses of feed coal samples, two mineral suites were identified: (1) a primary or detrital suite consisting of quartz (including beta-form grains), biotite, feldspar, and minor zircon; and (2) a secondary authigenic mineral suite containing alumino-phosphates (crandallite and gorceixite), kaolinite, carbonates (calcite and dolomite), quartz, anatase, barite, and pyrite. The primary mineral suite is interpreted, in part, to be of volcanic origin, whereas the authigenic mineral suite is interpreted, in part, to be the result of the alteration of the volcanic minerals. The mineral suites have contributed to the higher amounts of barium, calcium, magnesium, phosphorus, sodium, strontium, and titanium in the Powder River Basin feed coals in comparison to eastern coals. X-ray diffraction analysis indicates that (1) fly ash is mostly aluminate glass, perovskite, lime, gehlenite, quartz, and phosphates with minor amounts of periclase, anhydrite, hematite, and spinel group minerals; and (2) bottom ash is predominantly quartz, plagioclase (albite and anorthite), pyroxene (augite and fassaite), rhodonite, and akermanite, and spinel group minerals. Microprobe and scanning electron microscope analyses of fly ash samples revealed quartz, zircon, and monazite, euhedral laths of corundum with merrillite, hematite, dendritic spinels/ferrites, wollastonite, and periclase. The abundant calcium and magnesium mineral phases in the fly ash are attributed to the presence of carbonate, clay, and phosphate minerals in the feed coal and their alteration to new phases during combustion. The amorphous diffraction-scattering maxima or glass 'hump' appears to reflect differences in chemical composition of fly ash and bottom ash glasses. In Wyodak-Anderson fly and bottom ashes, the center point of scattering maxima is due to calcium and magnesium content, whereas the glass 'hump' of eastern fly ash reflects variation in aluminum content. The calcium- and magnesium-rich and alumino-phosphate mineral phases in the coal combustion products can be attributed to volcanic minerals deposited in peat-forming mires. Dissolution and alteration of these detrital volcanic minerals occurred either in the peat-forming stage or during coalification and diagenesis, resulting in the authigenic mineral suite. The presence of free lime (CaO) in fly ash produced from Wyodak-Anderson coal acts as a self-contained 'scrubber' for SO3, where CaO + SO3 form anhydrite either during combustion or in the upper parts of the boiler. Considering the high lime content in the fly ash and the resulting hydration reactions after its contact with water, there is little evidence that major amounts of leachable metals are mobilized in the disposal or utilization of this fly ash.

Scientific Investigations Report

Determination of coalbed methane potential and gas adsorption capacity in Western Kentucky coals

The Illinois Basin has not been developed for Coalbed Methane (CBM) production. It is imperative to determine both gas content and other parameters for the Kentucky portion of the Illinois Basin if exploration is to progress and production is to occur in this area. This research is part of a larger project being conducted by the Kentucky Geological Survey to evaluate the CBM production of Pennsylvanian-age western Kentucky coals in Ohio, Webster, and Union counties using methane adsorption isotherms, direct gas desorption measurements, and chemical analyses of coal and gas. This research will investigate relationships between CBM potential and petrographic, surface area, pore size, and gas adsorption isotherm analyses of the coals. Maceral and reflectance analyses are being conducted at the Center for Applied Energy Research. At the Indiana Geological Survey, the surface area and pore size of the coals will be analyzed using a Micrometrics ASAP 2020, and the CO2 isotherm analyses will be conducted using a volumetric adsorption apparatus in a water temperature bath. The aforementioned analyses will be used to determine site specific correlations for the Kentucky part of the Illinois Basin. The data collected will be compared with previous work in the Illinois Basin and will be correlated with data and structural features in the basin. Gas composition and carbon and hydrogen isotopic data suggest mostly thermogenic origin of coalbed gas in coals from Webster and Union Counties, Kentucky, in contrast to the dominantly biogenic character of coalbed gas in Ohio County, Kentucky.

Conference Paper

Applying satellite technology to energy and mineral exploration

IGCP Project 143 ("Remote Sensing and Mineral Exploration"), is a worldwide research project designed to make satellite data an operational geological tool along with the geologic pick, hand lens, topographic map, aerial photo and geophysical instruments and data that comprise the exploration package. While remote sensing data will not replace field exploration and mapping, careful study of such data prior to field work should make the effort more efficient.

Episodes

Assessing the state of knowledge of utility-scale wind energy development and operation on non-volant terrestrial and marine wildlife

A great deal has been published in the scientific literature regarding the effects of wind energy development and operation on volant (flying) wildlife including birds and bats, although knowledge of how to mitigate negative impacts is still imperfect. We reviewed the peer-reviewed scientific literature for information on the known and potential effects of utility-scale wind energy development and operation (USWEDO) on terrestrial and marine non-volant wildlife and found that very little has been published on the topic. Following a similar review for solar energy we identified known and potential effects due to construction and eventual decommissioning of wind energy facilities. Many of the effects are similar and include direct mortality, environmental impacts of destruction and modification of habitat including impacts of roads, and offsite impacts related to construction material acquisition, processing and transportation. Known and potential effects due to operation and maintenance of facilities include habitat fragmentation and barriers to gene flow, as well as effects due to noise, vibration and shadow flicker, electromagnetic field generation, macro- and micro-climate change, predator attraction, and increased fire risk. The scarcity of before-after-control-impact studies hinders the ability to rigorously quantify the effects of USWEDO on non-volant wildlife. We conclude that more empirical data are currently needed to fully assess the impact of USWEDO on non-volant wildlife.

Applied Energy

Impact of tile drainage on evapotranspiration in South Dakota, USA, based on high spatiotemporal resolution evapotranspiration time series from a multi-satellite data fusion system

Soil drainage is a widely used agricultural practice in the midwest USA to remove excess soil water to potentially improve the crop yield. Research shows an increasing trend in baseflow and streamflow in the midwest over the last 60 years, which may be related to artificial drainage. Subsurface drainage (i.e., tile) in particular may have strongly contributed to the increase in these flows, because of its extensive use and recent gain in the popularity as a yield-enhancement practice. However, how evapotranspiration (ET) is impacted by tile drainage on a regional level is not well-documented. To explore spatial and temporal ET patterns and their relationship to tile drainage, we applied an energy balance-based multisensor data fusion method to estimate daily 30-m ET over an intensively tile-drained area in South Dakota, USA, from 2005 to 2013. Results suggest that tile drainage slightly decreases the annual cumulative ET, particularly during the early growing season. However, higher mid-season crop water use suppresses the extent of the decrease of the annual cumulative ET that might be anticipated from widespread drainage. The regional water balance analysis during the growing season demonstrates good closure, with the average residual from 2005 to 2012 as low as -3 mm. As an independent check of the simulated ET at the regional scale, the water balance analysis lends additional confidence to the study. The results of this study improve our understanding of the influence of agricultural drainage practices on regional ET, and can affect future decision making regarding tile drainage systems.

IEEE Journal of Selected Topics in Applied Earth O

Byproduct metal requirements for U.S. wind and solar photovoltaic electricity generation up to the year 2040 under various Clean Power Plan scenarios

The United States has and will likely continue to obtain an increasing share of its electricity from solar photovoltaics (PV) and wind power, especially under the Clean Power Plan (CPP). The need for additional solar PV modules and wind turbines will, among other things, result in greater demand for a number of minor metals that are produced mainly or only as byproducts. In this analysis, the quantities of 11 byproduct metals (Ag, Cd, Te, In, Ga, Se, Ge, Nd, Pr, Dy, and Tb) required for wind turbines with rare-earth permanent magnets and four solar PV technologies are assessed through the year 2040. Three key uncertainties (electricity generation capacities, technology market shares, and material intensities) are varied to develop 42 scenarios for each byproduct metal. The results indicate that byproduct metal requirements vary significantly across technologies, scenarios, and over time. In certain scenarios, the requirements are projected to become a significant portion of current primary production. This is especially the case for Te, Ge, Dy, In, and Tb under the more aggressive scenarios of increasing market share and conservative material intensities. Te and Dy are, perhaps, of most concern given their substitution limitations. In certain years, the differences in byproduct metal requirements between the technology market share and material intensity scenarios are greater than those between the various CPP and No CPP scenarios. Cumulatively across years 2016–2040, the various CPP scenarios are estimated to require 15–43% more byproduct metals than the No CPP scenario depending on the specific byproduct metal and scenario. Increasing primary production via enhanced recovery rates of the byproduct metals during the beneficiation and enrichment operations, improving end-of-life recycling rates, and developing substitutes are important strategies that may help meet the increased demand for these byproduct metals.

Applied Energy

Integrating laboratory creep compaction data with numerical fault models: A Bayesian framework

[1] We developed a robust Bayesian inversion scheme to plan and analyze laboratory creep compaction experiments. We chose a simple creep law that features the main parameters of interest when trying to identify rate-controlling mechanisms from experimental data. By integrating the chosen creep law or an approximation thereof, one can use all the data, either simultaneously or in overlapping subsets, thus making more complete use of the experiment data and propagating statistical variations in the data through to the final rate constants. Despite the nonlinearity of the problem, with this technique one can retrieve accurate estimates of both the stress exponent and the activation energy, even when the porosity time series data are noisy. Whereas adding observation points and/or experiments reduces the uncertainty on all parameters, enlarging the range of temperature or effective stress significantly reduces the covariance between stress exponent and activation energy. We apply this methodology to hydrothermal creep compaction data on quartz to obtain a quantitative, semiempirical law for fault zone compaction in the interseismic period. Incorporating this law into a simple direct rupture model, we find marginal distributions of the time to failure that are robust with respect to errors in the initial fault zone porosity.

Journal of Geophysical Research B: Solid Earth

Mortality monitoring design for utility-scale solar power facilities

Introduction Solar power represents an important and rapidly expanding component of the renewable energy portfolio of the United States (Lovich and Ennen, 2011; Hernandez and others, 2014). Understanding the impacts of renewable energy development on wildlife is a priority for the U.S. Fish and Wildlife Service (FWS) in compliance with Department of Interior Order No. 3285 (U.S. Department of the Interior, 2009) to “develop best management practices for renewable energy and transmission projects on the public lands to ensure the most environmentally responsible development and delivery of renewable energy.” Recent studies examining effects of renewable energy development on mortality of migratory birds have primarily focused on wind energy (California Energy Commission and California Department of Fish and Game, 2007), and in 2012 the FWS published guidance for addressing wildlife conservation concerns at all stages of land-based wind energy development (U.S. Fish and Wildlife Service, 2012). As yet, no similar guidelines exist for solar development, and no published studies have directly addressed the methodology needed to accurately estimate mortality of birds and bats at solar facilities. In the absence of such guidelines, ad hoc methodologies applied to solar energy projects may lead to estimates of wildlife mortality rates that are insufficiently accurate and precise to meaningfully inform conversations regarding unintended consequences of this energy source and management decisions to mitigate impacts. Although significant advances in monitoring protocols for wind facilities have been made in recent years, there remains a need to provide consistent guidance and study design to quantify mortality of bats, and resident and migrating birds at solar power facilities (Walston and others, 2015). In this document, we suggest methods for mortality monitoring at solar facilities that are based on current methods used at wind power facilities but adapted for the unique conditions encountered at solar facilities. In particular, unlike at wind-power facilities, the unimpeded access to almost all areas within the facilities, the typically flat terrain, and general absence of thick vegetation allow distance-sampling techniques (Buckland and others, 2001, 2004) to be exploited to advantage at industrial solar sites. These protocols build on the work of Nicolai and others (2011), and as our understanding and techniques for monitoring improve, the methods may be further modified to incorporate improvements in the future. We present case studies based on monitoring methods currently implemented at different utility-scale solar facilities to illustrate how distance-sampling techniques may improve overall detectability without substantially increasing costs. Every facility is unique, and the protocols presented may be adapted based on specific monitoring objectives and conditions at each site. We provide guidance for designing monitoring programs whose objective it is to estimate the total number of bird and bat fatalities occurring at a facility over an extended period of time. We address spatial variation in causes of mortality, as well as potential sources of imperfect detection, for example, animals falling in or moving to unsearched areas, carcasses removed by predators, and carcasses missed by searchers. We suggest methods to estimate and account for each source of imperfect detection. This document focuses on monitoring design only and does not discuss approaches for estimating mortality from collected data. The development of statistically sound estimators relevant to the solar context is a current topic of research, although there are already strong foundations for estimation with distance-sampling methods in similar open, arid environments (Anderson and others, 2001; Freilich and others, 2005). Nonetheless, if protocols described in this document are followed, the resulting data will be adequate and sufficient for estimating mortality using newly formulated estimators.

Open-File Report

Estimating pumping time and ground-water withdrawals using energy- consumption data

Evaluation of the hydrology of an aquifer requires knowledge about the volume of groundwater in storage and also about the volume of groundwater withdrawals. Totalizer flow meters may be installed at pumping plants to measure withdrawals; however, it generally is impractical to equip all pumping plants in an area with meters. A viable alternative is the use of rate-time methods. Rate-time methods may be used at individual pumping plants to decrease the data collection necessary for determining withdrawals. At sites where pumping-time measurement devices are not installed, pumping time may be determined on the basis of energy consumption and power demand. At pumping plants where energy consumption is metered, data acquired by reading of meters is used to estimate pumping time. Care needs to be taken to read these meters correctly. At pumping plants powered by electricity, the calculations need to be modified if transformers are present. At pumping plants powered by natural gas, the effects of the pressure-correction factor need to be included in the calculations. At pumping plants powered by gasoline, diesel oil, or liquid petroleum gas, the geometry of storage tanks needs to be analyzed as part of the calculations. The relation between power demand and pumping rate at a pumping plant can be described through the use of the power-consumption coefficient. Where equipment and hydrologic conditions are stable, this coefficient can be applied to total energy consumption at a site to estimate total groundwater withdrawals. Random sampling of power consumption coefficients can be used to estimate area-wide groundwater withdrawal. (USGS)

Water-Resources Investigations Report

Estimating national water use associated with unconventional oil and gas development

The U.S. Geological Survey&rsquo;s (USGS) Water Availability and Use Science Program (WAUSP) goals are to provide a more accurate assessment of the status of the water resources of the United States and assist in the determination of the quantity and quality of water that is available for beneficial uses. These assessments would identify long-term trends or changes in water availability since the 1950s in the United States and help to develop the basis for an improved ability to forecast water avail- ability for future economic, energy-production, and environmental uses. The National Water Census ( http://water.usgs.gov/watercensus/ ), a research program of the WAUSP, supports studies to develop new water accounting tools and assess water availability at the regional and national scales. Studies supported by this program target focus areas with identified water availability concerns and topical science themes related to the use of water within a specific type of environmental setting. The topical study described in this fact sheet will focus on understanding the relation between production of unconventional oil and gas (UOG) for energy and the water needed to produce and sustain this type of energy development. This relation applies to the life-cycle of renewable and nonrenewable forms of UOG energy and includes extraction, production, refinement, delivery, and disposal of waste byproducts. Water-use data and models derived from this topical study will be applied to other similar oil and gas plays within the United States to help resource managers assess and account for water used or needed in these areas. Additionally, the results from this topical study will be used to further refine the methods used in compiling water-use data for selected categories (for example, mining, domestic self-supplied, public supply, and wastewater) in the USGS&rsquo;s 5-year national water-use estimates reports ( http://water.usgs.gov/watuse/ ).

Fact Sheet

Dynamic rupture modeling with laboratory-derived constitutive relations

A laboratory-derived state variable friction constitutive relation is used in the numerical simulation of the dynamic growth of an in-plane or mode II shear crack. According to this formulation, originally presented by J. H. Dieterich, frictional resistance varies with the logarithm of the slip rate and with the logarithm of the frictional state variable as identified by A. L. Ruina. Under conditions of steady sliding, the state variable is proportional to (slip rate) −1 . Following suddenly introduced increases in slip rate, the rate and state dependencies combine to produce behavior which resembles slip weakening. When rupture nucleation is artificially forced at fixed rupture velocity, rupture models calculated with the state variable friction in a uniformly distributed initial stress field closely resemble earlier rupture models calculated with a slip weakening fault constitutive relation. Additional rupture models are calculated in which rupture nucleation is achieved naturally, with numerical simulations of the quasi-static response of the fault leading to the onset of unstable, dynamic rupture. When rupture nucleation with the state variable friction law takes place naturally, a large fraction of the fault accelerates before accelerating slip is concentrated in what ultimately becomes the rupture nucleation patch. The state evolution accompanying this accelerating slip leads to higher average rupture speeds or a more rapid rupture acceleration to near P wave rupture speeds. Rupture models are also calculated for the seismological asperity problem, that is, the failure of a highly stressed fault patch surrounded by a region of zero stress drop. Dynamic overshoot of slip into the region of zero stress drop roughly agrees with a simple energy balance analysis; the final size of the rupture is proportional to the square of the size of the high stress patch. Earlier frictional stability analyses have led to the definition of a critical fault patch size for rupture nucleation. This critical patch size is generally different from critical crack lengths determined from crack tip energy balance considerations applied to a simpler slip weakening law. In the model calculations, dynamic rupture does not nucleate if the starting patch size is less than the critical patch size. This is consistent with the frictional stability analyses. Thus these model calculations suggest that dynamic rupture following a state variable friction relation is similar to that following a simpler fault slip weakening law. However, when modeling the full cycle of fault motions, rate-dependent frictional responses included in the state variable formulation are important at low slip rates associated with rupture nucleation. The critical rupture nucleation dimension appropriate for a slip weakening fault does not predict the critical nucleation dimension for a state variable fault.

Journal of Geophysical Research Solid Earth

Cumulative biological impacts framework for solar energy projects in the California Desert

This project developed analytical approaches, tools and geospatial data to support conservation planning for renewable energy development in the California deserts. Research focused on geographical analysis to avoid, minimize and mitigate the cumulative biological effects of utility-scale solar energy development. A hierarchical logic model was created to map the compatibility of new solar energy projects with current biological conservation values. The research indicated that the extent of compatible areas is much greater than the estimated land area required to achieve 2040 greenhouse gas reduction goals. Species distribution models were produced for 65 animal and plant species that were of potential conservation significance to the Desert Renewable Energy Conservation Plan process. These models mapped historical and projected future habitat suitability using 270 meter resolution climate grids. The results were integrated into analytical frameworks to locate potential sites for offsetting project impacts and evaluating the cumulative effects of multiple solar energy projects. Examples applying these frameworks in the Western Mojave Desert ecoregion show the potential of these publicly-available tools to assist regional planning efforts. Results also highlight the necessity to explicitly consider projected land use change and climate change when prioritizing areas for conservation and mitigation offsets. Project data, software and model results are all available online.

California

On the interpretation of energy and energy fluxes of nonlinear internal waves: An example from Massachusetts Bay

A self-consistent formalism to estimate baroclinic energy densities and fluxes resulting from the propagation of internal waves of arbitrary amplitude is derived using the concept of available potential energy. The method can be applied to numerical, laboratory or field data. The total energy flux is shown to be the sum of the linear energy flux ??? u??? p??? dz (primes denote baroclinic quantities), plus contributions from the non-hydrostatic pressure anomaly and the self-advection of kinetic and available potential energy. Using highly resolved observations in Massachusetts Bay, it is shown that due to the presence of nonlinear internal waves periodically propagating in the area, ??? u??? p??? dz accounts for only half of the total flux. The same data show that equipartition of available potential and kinetic energy can be violated, especially when the nonlinear waves begin to interact with the bottom. ?? 2006 Cambridge University Press.

Massachusetts Bay