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Converting captured carbon to fuel: Study assesses what’s practical and what’s not
The struggle to cut emissions is real.
But despite more than a dozen direct air capture facilities being up and running around the globe already, the technology still faces major technological hurdles — including its own high energy use.
In a study published May 1 in the journal ACS Energy Letters, researchers at the University of Colorado Boulder and collaborators revealed that a popular approach many engineers are exploring to reduce those energy costs would, in reality, fail. The team, including scientists at the National Renewable Energy Laboratory in Golden, Colorado and Delft University of Technology in the Netherlands, also proposed an alternative, more sustainable design for capturing CO2 and converting it to fuels.
“Ideally, we want to take CO2 out of the air and keep it out of the air,” said first author Hussain Almajed, a Ph.D. student in the Department of Chemical and Biological Engineering. “However, some of this CO2 can be recycled into useful carbon-containing products, which is why researchers have proposed different ideas of how we can achieve that. Some of these ideas look very simple and elegant on paper, but researchers rarely check whether they are practical and economical in industrial settings.”
Trapping the gas
One of the most common direct air capture approaches is to use air contactors, essentially huge fans that pull air into a chamber filled with a basic liquid. CO2 is acidic, so it naturally binds to and reacts with the solution to form harmless carbonate (the main ingredient in concrete) or bicarbonate (the ingredient in baking soda).
Stratos, one of the world’s largest direct air capture facilities under construction in Texas, uses this approach.
Once CO2 is trapped in the carbonate or bicarbonate solutions, engineers must separate it out from the liquid so the liquid can return to the chamber to capture more CO2.
Meanwhile, the captured carbon can be converted into things like plastics, carbonated drinks and even — with further processing — fuel to power homes and potentially airplanes.
But there is a catch. To release the trapped CO2, companies need to heat the carbonate and bicarbonate solution to at least 900?C (1,652° F), a temperature solar and wind energy is unable to achieve. This step is usually powered by burning fossil-based fuels like natural gas or pure methane.
“If we have to release CO2 in order to capture CO2, it defeats the whole purpose of carbon capture,” said Wilson Smith, a professor in the Department of Chemical and Biological Engineering and a fellow of the Renewable and Sustainable Energy Institute at CU Boulder.
Close the loop
Researchers are actively looking for answers. One idea, commonly known as reactive capture, is to apply electricity to the carbonate and bicarbonate solutions, zapping the CO2 and basic liquid apart in the chamber. In theory, the recycled liquid can then capture more CO2, forming a closed-loop system.
“Reactive capture is now the buzzword in the field, and researchers proposed that it could help save energy and costs associated with carbon capture. But no one really assessed whether that’s realistic under industrial conditions,” Almajed said.
To do that, the team calculated the mass and energy outputs of the reactive capture units, based on given inputs, to understand how well the overall system would perform. They found that in an industrial setting, electricity would not be able to regenerate the basic liquid to re-capture more CO2 from the air.
In fact, after five cycles of carbon capture and regeneration, the basic liquid could barely pull any CO2 out of the air.
The team also suggested a tweak to the reactive capture process by adding a step called electrodialysis. The process splits additional water into acidic and basic ions, helping to maintain the basic liquid’s ability to absorb more CO2. Electrodialysis can run on renewable electricity, making it a potentially sustainable way to turn captured CO2 into useful products.
More importantly, electrodialysis can release CO2 gas, which engineers can use to strengthen concrete.
“To me, turning CO2 into rocks has to be one of the leading solutions to keep it out of the air over long periods of time,” Smith said. Concrete production is energy-intensive and responsible for 8% of global carbon emissions.
“This is solving multiple problems with one technology,” he said.
The root of the problem
According to the Intergovernmental Panel on Climate Change (IPCC), a team of scientists convened by the United Nations, carbon dioxide removal “is required to achieve global and national targets of net zero CO2 and greenhouse gas emissions.”
Across the world, more than 20 direct air capture plants are in operation with 130 more currently under construction.
But Smith stresses that while carbon capture may have its place, cutting emissions is still the most critical step needed to avoid the worst outcomes of climate change.
“Imagining Earth as a bathtub, with the running water from the faucet being CO2. The bathtub is getting full and becoming unlivable. Now, we have two options. We can use a little cup to scoop out the water, cup by cup, or we can turn the faucet off,” Smith said.
“Cutting emissions has to be the priority.”
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Early dark energy could resolve cosmology’s two biggest puzzles
A new study by MIT physicists proposes that a mysterious force known as early dark energy could solve two of the biggest puzzles in cosmology and fill in some major gaps in our understanding of how the early universe evolved.
Now, the MIT team has found that both puzzles could be resolved if the early universe had one extra, fleeting ingredient: early dark energy. Dark energy is an unknown form of energy that physicists suspect is driving the expansion of the universe today. Early dark energy is a similar, hypothetical phenomenon that may have made only a brief appearance, influencing the expansion of the universe in its first moments before disappearing entirely.
Some physicists have suspected that early dark energy could be the key to solving the Hubble tension, as the mysterious force could accelerate the early expansion of the universe by an amount that would resolve the measurement mismatch.
The MIT researchers have now found that early dark energy could also explain the baffling number of bright galaxies that astronomers have observed in the early universe. In their new study, reported in the Monthly Notices of the Royal Astronomical Society, the team modeled the formation of galaxies in the universe’s first few hundred million years. When they incorporated a dark energy component only in that earliest sliver of time, they found the number of galaxies that arose from the primordial environment bloomed to fit astronomers’ observations.
“You have these two looming open-ended puzzles,” says study co-author Rohan Naidu, a postdoc in MIT’s Kavli Institute for Astrophysics and Space Research. “We find that in fact, early dark energy is a very elegant and sparse solution to two of the most pressing problems in cosmology.”
The study’s co-authors include lead author and Kavli postdoc Xuejian (Jacob) Shen, and MIT professor of physics Mark Vogelsberger, along with Michael Boylan-Kolchin at the University of Texas at Austin, and Sandro Tacchella at the University of Cambridge.
Big city lights
Based on standard cosmological and galaxy formation models, the universe should have taken its time spinning up the first galaxies. It would have taken billions of years for primordial gas to coalesce into galaxies as large and bright as the Milky Way.
But in 2023, NASA’s James Webb Space Telescope (JWST) made a startling observation. With an ability to peer farther back in time than any observatory to date, the telescope uncovered a surprising number of bright galaxies as large as the modern Milky Way within the first 500 million years, when the universe was just 3 percent of its current age.
“The bright galaxies that JWST saw would be like seeing a clustering of lights around big cities, whereas theory predicts something like the light around more rural settings like Yellowstone National Park,” Shen says. “And we don’t expect that clustering of light so early on.”
For physicists, the observations imply that there is either something fundamentally wrong with the physics underlying the models or a missing ingredient in the early universe that scientists have not accounted for. The MIT team explored the possibility of the latter, and whether the missing ingredient might be early dark energy.
Physicists have proposed that early dark energy is a sort of antigravitational force that is turned on only at very early times. This force would counteract gravity’s inward pull and accelerate the early expansion of the universe, in a way that would resolve the mismatch in measurements. Early dark energy, therefore, is considered the most likely solution to the Hubble tension.
Galaxy skeleton
The MIT team explored whether early dark energy could also be the key to explaining the unexpected population of large, bright galaxies detected by JWST. In their new study, the physicists considered how early dark energy might affect the early structure of the universe that gave rise to the first galaxies. They focused on the formation of dark matter halos — regions of space where gravity happens to be stronger, and where matter begins to accumulate.
“We believe that dark matter halos are the invisible skeleton of the universe,” Shen explains. “Dark matter structures form first, and then galaxies form within these structures. So, we expect the number of bright galaxies should be proportional to the number of big dark matter halos.”
The team developed an empirical framework for early galaxy formation, which predicts the number, luminosity, and size of galaxies that should form in the early universe, given some measures of “cosmological parameters.” Cosmological parameters are the basic ingredients, or mathematical terms, that describe the evolution of the universe.
Physicists have determined that there are at least six main cosmological parameters, one of which is the Hubble constant — a term that describes the universe’s rate of expansion. Other parameters describe density fluctuations in the primordial soup, immediately after the Big Bang, from which dark matter halos eventually form.
The MIT team reasoned that if early dark energy affects the universe’s early expansion rate, in a way that resolves the Hubble tension, then it could affect the balance of the other cosmological parameters, in a way that might increase the number of bright galaxies that appear at early times. To test their theory, they incorporated a model of early dark energy (the same one that happens to resolve the Hubble tension) into an empirical galaxy formation framework to see how the earliest dark matter structures evolve and give rise to the first galaxies.
“What we show is, the skeletal structure of the early universe is altered in a subtle way where the amplitude of fluctuations goes up, and you get bigger halos, and brighter galaxies that are in place at earlier times, more so than in our more vanilla models,” Naidu says. “It means things were more abundant, and more clustered in the early universe.”
“A priori, I would not have expected the abundance of JWST’s early bright galaxies to have anything to do with early dark energy, but their observation that EDE pushes cosmological parameters in a direction that boosts the early-galaxy abundance is interesting,” says Marc Kamionkowski, professor of theoretical physics at Johns Hopkins University, who was not involved with the study. “I think more work will need to be done to establish a link between early galaxies and EDE, but regardless of how things turn out, it’s a clever — and hopefully ultimately fruitful — thing to try.”
“We demonstrated the potential of early dark energy as a unified solution to the two major issues faced by cosmology. This might be an evidence for its existence if the observational findings of JWST get further consolidated,” Vogelsberger concludes. “In the future, we can incorporate this into large cosmological simulations to see what detailed predictions we get.”
This research was supported, in part, by NASA and the National Science Foundation.
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Plant-derived secondary organic aerosols can act as mediators of plant-plant interactions
A new study published in Science reveals that plant-derived secondary organic aerosols (SOAs) can act as mediators of plant-plant interactions. This research was conducted through the cooperation of chemical ecologists, plant ecophysiologists and atmospheric physicists at the University of Eastern Finland.
The study showed that Scots pine seedlings, when damaged by large pine weevils, release VOCs that activate defences in nearby plants of the same species. Interestingly, the biological activity persisted after VOCs were oxidized to form SOAs. The results indicated that the elemental composition and quantity of SOAs likely determines their biological functions.
“A key novelty of the study is the finding that plants adopt subtly different defence strategies when receiving signals as VOCs or as SOAs, yet they exhibit similar degrees of resistance to herbivore feeding,” said Professor James Blande, head of the Environmental Ecology Research Group. This observation opens up the possibility that plants have sophisticated sensing systems that enable them to tailor their defences to information derived from different types of chemical cue.
“Considering the formation rate of SOAs from their precursor VOCs, their longer lifetime compared to VOCs, and the atmospheric air mass transport, we expect that the ecologically effective distance for interactions mediated by SOAs is longer than that for plant interactions mediated by VOCs,” said Professor Annele Virtanen, head of the Aerosol Physics Research Group. This could be interpreted as plants being able to detect cues representing close versus distant threats from herbivores.
The study is expected to open up a whole new complex research area to environmental ecologists and their collaborators, which could lead to new insights on the chemical cues structuring interactions between plants.
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Folded or cut, this lithium-sulfur battery keeps going
Most rechargeable batteries that power portable devices, such as toys, handheld vacuums and e-bikes, use lithium-ion technology. But these batteries can have short lifetimes and may catch fire when damaged. To address stability and safety issues, researchers reporting in ACS Energy Letters have designed a lithium-sulfur (Li-S) battery that features an improved iron sulfide cathode. One prototype remains highly stable over 300 charge-discharge cycles, and another provides power even after being folded or cut.
The team coated iron sulfide cathodes in different polymers and found in initial electrochemical performance tests that polyacrylic acid (PAA) performed best, retaining the electrode’s discharge capacity after 300 charge-discharge cycles. Next, the researchers incorporated a PAA-coated iron sulfide cathode into a prototype battery design, which also included a carbonate-based electrolyte, a lithium metal foil as an ion source, and a graphite-based anode. They produced and then tested both pouch cell and coin cell battery prototypes.
After more than 100 charge-discharge cycles, Wang and colleagues observed no substantial capacity decay in the pouch cell. Additional experiments showed that the pouch cell still worked after being folded and cut in half. The coin cell retained 72% of its capacity after 300 charge-discharge cycles. They next applied the polymer coating to cathodes made from other metals, creating lithium-molybdenum and lithium-vanadium batteries. These cells also had stable capacity over 300 charge-discharge cycles. Overall, the results indicate that coated cathodes could produce not only safer Li-S batteries with long lifespans, but also efficient batteries with other metal sulfides, according to Wang’s team.
The authors acknowledge funding from the National Natural Science Foundation of China; the Natural Science Foundation of Sichuan, China; and the Beijing National Laboratory for Condensed Matter Physics.
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