Factors Influencing the Probability of Hydraulic Fracturing-Induced Seismicity in Oklahoma

2020 ◽  
Vol 110 (5) ◽  
pp. 2272-2282 ◽  
Author(s):  
Rosamiel Ries ◽  
Michael R. Brudzinski ◽  
Robert J. Skoumal ◽  
Brian S. Currie

ABSTRACT Injection-induced seismicity became an important issue over the past decade, and although much of the rise in seismicity is attributed to wastewater disposal, a growing number of cases have identified hydraulic fracturing (HF) as the cause. A recent study identified regions in Oklahoma where ≥75% of seismicity from 2010 to 2016 correlated with nearly 300 HF wells. To identify factors associated with increased probability of induced seismicity, we gathered publicly available information about the HF operations in these regions including: injected volume, number of wells on a pad, injected fluid (gel vs. slickwater), vertical depth of the well, proximity of the well to basement rock, and the formation into which the injection occurred. To determine the statistical strength of the trends, we applied logistic regression, bootstrapping, and odds ratios. We see no trend with total injected volume in our Oklahoma dataset, in contrast to strong trends observed in Alberta and Texas, but we note those regions have many more multiwell pads leading to larger cumulative volumes within a localized area. We found a ∼50% lower probability of seismicity with the use of gel compared to slickwater. We found that HF wells targeting older formations had a higher probability of seismicity; however, these wells also tend to be deeper, and we found the trend with well depth to be stronger than the trend with age of formation. When isolated to the Woodford formation, well depth produced the strongest relationship, increasing from ∼5% to ∼50% probability from 1.5 to 5.5 km. However, no trend was seen in the proximity to basement parameter. Based on previously measured pore pressure gradients, we interpret the strong absolute depth relationship to be a result of the increasing formation overpressure measured in deeper portions of the basin that lower the stress change needed to induce seismicity.

2020 ◽  
Vol 110 (5) ◽  
pp. 2441-2453 ◽  
Author(s):  
Ganyu Teng ◽  
Jack W. Baker

ABSTRACT This project introduces short-term hazard assessment frameworks for regions with induced seismicity. The short-term hazard is the hazard induced during the injection for hydraulic-fracturing-induced earthquakes. For wastewater-disposal-induced earthquakes, it is the hazard within a few days after an observed earthquake. In West Texas, hydraulic-fracturing-induced earthquakes cluster around the injection activities, and the earthquake occurrence varies greatly in time and space. We develop a method to estimate the hazard level at the production site during the injection, based on past injection and earthquake records. The results suggest that the injection volume has a negligible effect on short-term earthquake occurrence in this case, because injection volumes per well fall within a relatively narrow range, whereas the regional variations in seismic productivity of wells and b-values are important. The framework could be easily modified for implementation in other regions with hydraulic-fracturing-induced earthquakes. We then compare the framework with wastewater-disposal-induced earthquakes in Oklahoma–Kansas and natural earthquakes in California. We found that drivers of short-term seismic hazard differ for the three cases. In West Texas, clustered earthquakes dominate seismic hazards near production sites. However, for Oklahoma–Kansas and California, the short-term earthquake occurrence after an observed mainshock could be well described by the mainshock–aftershock sequence. For Stillwater in Oklahoma, aftershocks contribute less to the hazard than San Francisco in California, due to the high Poissonian mainshock rate. For the rate of exceeding a modified Mercalli intensity of 3 within 7 days after an M 4 earthquake, the aftershock sequence from natural earthquakes contributed 85% of the hazard level, whereas the aftershock contribution was only 60% for induced earthquakes in Oklahoma. Although different models were implemented for hazard calculations in regions with hydraulic fracturing versus wastewater injection, injection activities could be drivers of short-term hazard in both cases.


1987 ◽  
Vol 19 (5-6) ◽  
pp. 701-710 ◽  
Author(s):  
B. L. Reidy ◽  
G. W. Samson

A low-cost wastewater disposal system was commissioned in 1959 to treat domestic and industrial wastewaters generated in the Latrobe River valley in the province of Gippsland, within the State of Victoria, Australia (Figure 1). The Latrobe Valley is the centre for large-scale generation of electricity and for the production of pulp and paper. In addition other industries have utilized the brown coal resource of the region e.g. gasification process and char production. Consequently, industrial wastewaters have been dominant in the disposal system for the past twenty-five years. The mixed industrial-domestic wastewaters were to be transported some eighty kilometres to be treated and disposed of by irrigation to land. Several important lessons have been learnt during twenty-five years of operating this system. Firstly the composition of the mixed waste stream has varied significantly with the passage of time and the development of the industrial base in the Valley, so that what was appropriate treatment in 1959 is not necessarily acceptable in 1985. Secondly the magnitude of adverse environmental impacts engendered by this low-cost disposal procedure was not imagined when the proposal was implemented. As a consequence, clean-up procedures which could remedy the adverse effects of twenty-five years of impact are likely to be costly. The question then may be asked - when the total costs including rehabilitation are considered, is there really a low-cost solution for environmentally safe disposal of complex wastewater streams?


Polymers ◽  
2021 ◽  
Vol 13 (10) ◽  
pp. 1544
Author(s):  
Jet Yin Boey ◽  
Lydia Mohamad ◽  
Yong Sen Khok ◽  
Guan Seng Tay ◽  
Siti Baidurah

Overconsumption of plastic goods and improper handling of petroleum-derived plastic waste have brought a plethora of negative impacts to the environment, ecosystem and human health due to its recalcitrance to degradation. These drawbacks become the main driving force behind finding biopolymers with the degradable properties. With the advancement in biopolymer research, polyhydroxyalkanoate (PHA) and poly(lacyic acid) (PLA) and its composites have been alluded to as a potential alternative to replace the petrochemical counterpart. This review highlights the current synthesis process and application of PHAs and PLA and its composites for food packaging materials and coatings. These biopolymers can be further ameliorated to enhance their applicability and are discussed by including the current commercially available packaging products. Factors influencing biodegradation are outlined in the latter part of this review. The main aim of this review article is to organize the scattered available information on various aspects of PHAs and PLA, and its composites for packaging application purposes. It is evident from a literature survey of about 140 recently published papers from the past 15 years that PLA and PHA show excellent physical properties as potential food packaging materials.


Reproduction ◽  
2005 ◽  
Vol 130 (3) ◽  
pp. 275-281 ◽  
Author(s):  
Sabine Costagliola ◽  
Eneko Urizar ◽  
Fernando Mendive ◽  
Gilbert Vassart

The dichotomy between hormone recognition by the ectodomain and activation of the G protein by the rhodopsin-like serpentine portion is a well established property of glycoprotein hormone receptors. The specificity barrier avoiding promiscuous activation of the FSH receptor by the high concentration of human chorionic gonadotropin (hCG) prevailing during human pregnancy was thus believed to lie in the ectodomain. In the past two years, mutations responsible for rare spontaneous cases of ovarian hyperstimulation syndromes have partially modified this simple view. Five naturally occurring mutations have been identified which cause an increase in the sensitivity of the FSH receptor to hCG. Surprisingly, these mutations are all located in the serpentine portion of the receptor. In addition to their effect on sensitivity to hCG, they increase sensitivity of the FSH receptor to TSH, and are responsible for activating the receptor constitutively. Together, the available information indicates that the ectodomain and the serpentine domain of the FSH receptor each contribute to the specificity barrier preventing its spurious activation by hCG. While the former is responsible for establishment of binding specificity, the latter introduces a novel notion of functional specificity.Recent data demonstrate that LH and FSH receptors can constitute functional homo- and heterodimers. This suggests the possibility that in cells co-expressing the two receptors, such as granulosa cells, the heterodimers might be endowed with functional characteristics different from those of each homodimer.


2013 ◽  
Vol 195 (2) ◽  
pp. 1282-1287 ◽  
Author(s):  
Arno Zang ◽  
Jeoung Seok Yoon ◽  
Ove Stephansson ◽  
Oliver Heidbach

2015 ◽  
Vol 27 (2) ◽  
pp. 203-206 ◽  
Author(s):  
Leo Sher

Abstract A malpractice lawsuit is in the legal category of an action in tort, which is a demand for compensation for the damages that have occurred. For a physician to be found liable to a patient for malpractice, four essential elements must be proved to sustain an assertion of malpractice: duty, negligence, harm, and causation. The incidence of malpractice litigation in the field of psychiatry is increasing. The most common malpractice claim related to psychiatric practice is the failure to provide reasonable protection to patients from killing themselves. A psychiatrist should be able to evaluate suicide risk on the basis of all available information, including patient responses to direct and indirect questions, known risk factors, information on how the patient behaved under similar circumstances in the past, and collateral information. Reasonable care necessitates that a patient who is either thought of being or established to be suicidal must be the subject of some precautions. A failure either to soundly assess a patient’s suicide risk or to employ an appropriate safety plan after the suicide potential becomes foreseeable is likely to make a physician liable if the patient is harmed because of a suicide event. It is imperative for a psychiatric office or facility to have a good documentation. Careful documentation of evaluations and treatment interventions with a description of changes related to the patient’s clinical condition indicates clinically and legally appropriate psychiatric care.


2004 ◽  
Vol 829 ◽  
Author(s):  
Ali N. Rashid ◽  
Donald C. Craig

Tris-(8-hydroxyquinoline) aluminum III (Alq3) is a stable metal chelate that has received a great deal of attention over the past years due to its use in the fabrication of organic light emitting diodes (OLED).[1,2] Despite all the interest in this remarkable material very little information on its' solid-state properties and packing exists. Nearly all of the available information comes from studies that have been carried out on vacuum deposited thin films.[1]


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