Abstract
Observations of turbulent dissipation rates measured by two independent instruments are compared with numerical model runs to investigate the injection of turbulence generated by sea surface gravity waves. The near-surface observations are made by a moored autonomous instrument, fixed at approximately 8 m below the sea surface. The instrument is equipped with shear probes, a high-resolution pressure sensor, and an inertial motion package to measure time series of dissipation rate and nondirectional surface wave energy spectrum. A free-falling profiler is used additionally to collect vertical microstructure profiles in the upper ocean. For the model simulations, we use a one-dimensional mixed layer model based on a k–ε type second moment turbulence closure, which is modified to include the effects of wave breaking and Langmuir cells. The dissipation rates obtained using the modified k–ε model are elevated near the sea surface and in the upper water column, consistent with the measurements, mainly as a result of wave breaking at the surface, and energy drawn from wave field to the mean flow by Stokes drift. The agreement between observed and simulated turbulent quantities is fairly good, especially when the Stokes production is taken into account.
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1 Introduction
The upper ocean is bounded on top by the ocean surface, a complex interface across which exchanges of heat, gases, and momentum take place. Vertical transports in this boundary are controlled by dynamical processes at the near-surface boundary layer (Thorpe 1995). The processes at the surface, and the coupling between surface gravity waves, winds, and currents in the adjacent boundary layers play a key role in the global climate system (Sullivan and McWilliams 2010). Furthermore, the near-surface boundary layer is a highly turbulent region, especially when the surface is covered by intermittent breaking waves. The breaking of surface waves enhances the production of turbulent kinetic energy (TKE), and its rate of dissipation (Gemmrich and Farmer 2004), as well as the gas transfer rates across the air-sea interface (Thorpe and Humphries 1980). Thus, a better understanding of the aforementioned processes in the upper ocean requires accurate numerical predictions and careful measurements of turbulent mixing, especially in the presence of substantial wave-induced motions.
High-quality turbulence measurements in the surface layer have been made by using fixed platforms (Agrawal et al. 1992; Terray et al. 1996), ship-based instruments (Drennan et al. 1996), surface-following floats (Soloviev and Lukas 2003; Gemmrich and Farmer 2004), ascending profiles (Anis and Moum 1995; Stips et al. 2005), and laboratory experiments (Veron and Melville 2001; Veron et al. 2008; Babanin and Haus 2009). These measurements show that the TKE budget at the near-surface mixed layer is influenced by surface gravity waves through wave breaking, wave–current interaction, and wave–turbulence interaction. During breaking events, air is entrained into the water by producing bubbles and into the air by ejecting droplets. Furthermore, interaction of wind-driven surface shear with the Stokes drift of the surface waves generates Langmuir circulations that enhance the vertical mixing greatly, resulting in an elevation of the production of TKE, and enhancement of the dissipation rate of TKE (Thorpe et al. 2003; McWilliams et al. 1997). Skyllingstad and Denbo (1995) used a large eddy simulation model to simulate the Langmuir circulation and convection in the surface mixed layer. Their simulation results were consistent with observations and confirmed that the Langmuir circulations enhance the dissipation rates and decrease the vertical gradient of temperature and velocity in the boundary layer.
Progress by direct computational methods highlights the needs for including the dynamical structure of upper-ocean gravity wave field in the numerical models. Using the idea of breaker injection of TKE and a local production–dissipation of TKE balance, Craig and Banner (1994) and Craig (1996) imposed a surface diffusion boundary condition on the TKE equations to model the wave-enhanced turbulence in the surface zone. They suggested a constant factor to relate the surface TKE flux to the wave breaking. Terray et al. (1996) scaled three different sets of near-surface dissipation rate, ε, measurements under breaking waves. They used the significant wave height, H s , for scaling depth and fitted the Craig and Banner (1994) model results to their measured ε data. Furthermore, they obtained a sea surface roughness of z 0 = 0.85 H s . Mellor and Blumberg (2004) developed a boundary condition with a wave parametrization dependent on the wind stress. Sullivan et al. (2007) studied the surface gravity wave effect on the upper ocean variability by large eddy simulation using stochastic breakers and vortex forcing. Kantha and Clayson (2004) revised a turbulence closure model to include Langmuir cell effects by adding Stokes drift production term to the TKE equations. Their results showed that wave breaking influenced the mixed layer properties in the upper few meters, whereas the Langmuir cells contributed to deepening of the mixed layer.
In this study, we investigate the influence of surface gravity waves on the upper ocean turbulence variability. We compare upper ocean dissipation rate measurements with simulations using the general ocean turbulence model (GOTM) (Burchard et al. 1999) that is modified to include the wave forcing effects (Bakhoday-Paskyabi et al. 2012). Observations include (i) microstructure measurements during a 5-day cruise interrupted by a storm, (ii) background current and stratification measurements from a mooring, (iii) wave bulk parameters, and (iv) near-surface dissipation rate of TKE time series from a moored instrument at about 8 m from the sea surface. The modeling efforts include runs using GOTM that is modified by including wave breaking, Coriolis–Stokes forcing, Stokes production term, and wave–turbulence production term. Wave forcing is obtained from the near-surface high-resolution pressure data.
This paper is organized as follows. Section 2 gives a brief description of the field measurements and the experiment site. The major components of a near-surface boundary layer model with wave effects are reviewed in Section 3. Results from numerical experiments with different wave forcing terms are presented and compared with observations in Section 4 using numerical experiments and comparisons with observations. Subsequently, a discussion and summary are presented.
2 Site and measurements
Observations of ocean microstructure, background currents, and hydrography were made during a cruise of the Research Vessel Håkon Mosby, between 25 and 30 October 2011. The measurement site was approximately 6 km offshore of the Havsul-I area off the west coast of Norway (Fig. 1a), the first site in Norway with a concession for an offshore wind park. During the cruise, measurements were made of ocean turbulence and hydrography using a loosely tethered free-fall profiler MSS-90L (ISW Wassermesstechnik, Germany, MSS hereafter). Ancillary atmospheric data were logged from the ship’s meteorological mast at 15-m height. Before the microstructure measurements from the vessel were initiated, a Moored autonomous turbulence system (MATS), a Fugro–Oceanor WaveScan (WS) buoy, and an oceanographic mooring (M) were deployed. The relative positions of the deployed instruments are shown in Fig. 1b. The water depth at the measurement site is approximately 130 m. MATS and M sampled for an extended duration, covering the cruise period reported here, and were recovered on 10 January 2012 and 6 March 2012, respectively. In this study, only the portion of the data set covering the cruise period is reported.
2.1 Instrument details
MSS was equipped with precision conductivity, temperature, depth (CTD) sensors, two air-foil shear probes, and one fast-response bead thermistor (Thermometrics FP07) (Fer 2006). MSS measurements were made within a 1-km radius centered at 62o50 N and 6o9 E. A total of 256 profiles were collected in 4 sets of 51, 133, 18, and 54 casts, for durations of 6.9, 15.7, 2.0, and 6.8 h (Table 1). During each set, the profiler was kept in water for five to six successive casts, recovered for repositioning the vessel, and redeployed. During the deployments, the ship drifted downwind away from the instrument, and all measurements were 100–200 m away from the vessel. The sampling concentrated in the upper 80–90 m, but occasionally deeper profiles (to 130–150 m) were collected (45 out of 256 profiles). The typical sampling period between the casts was about 8 min. The main parameter measured by MSS, reported here, is the dissipation rate of TKE, ε.
WS is a surface buoy equipped with a directional wave sensor, ocean surface temperature, salinity and current sensors, and a 5-m mast with standard meteorological sensors including an incoming solar radiation sensor. Due to a failure in the atmospheric mast of WS, the buoy was recovered after only 2 days of operation. The limited record from WS is used to verify the inferred wave parameters from MATS, as well as for confirming that the atmospheric data obtained from a nearby meteorological station (Vigra, Fig. 1a) are representative of the cruise site.
Background measurements collected at the mooring line at M included current measurements from an uplooking RD-Instruments Sentinel 300 kHz acoustic Doppler current profiler (ADCP) located at 80 m, and from a pair of Nortek Aquadopp current meters at 88 and 110 m; and temperature and salinity measurements from Sea-Bird Electronics (SBE) loggers (six MicroCats and two SeaCats) distributed evenly in the vertical. The ADCP sampled the horizontal currents in 2-m vertical bins. Sampling interval was 2 min for MicroCats, 1 h for SeaCats, 15 min for Aquadopps, and 5 min for the ADCP. M was deployed at the 128-m isobath.
Near-surface turbulence measurements were made using MATS, an instrument designed to collect microstructure time series at a fixed level for an extended period (Fer and Bakhoday-Paskyabi 2013). MATS consists of a low-drag buoy as the main platform fitted with a modified microRider turbulence package (Rockland Scientific International, Canada) and a 6 MHz Nortek Vector acoustic Doppler velocimeter. The buoy has sufficient buoyancy to be used as the upper element in a mooring line. A swivel allows the instrument to align with the current, pointing the sensors toward the undisturbed free flow. The mooring line of MATS was equipped with additional oceanographic sensors to sample background currents and hydrography (2 MicroCats at 10 and 30 m; 4 SBE39 temperature loggers at 15, 20, 40, and 50 m; an uplooking RDI Sentinel 300 kHz ADCP at 60 m, all sampling at intervals identical to those at M). Data were recovered from all instruments but the uppermost MicroCat.
The sensors on MATS included two air-foil shear probes, two FP07 thermistors, a pressure transducer, a dual axis vibration sensor, a dual axis inclinometer, a six-axis motion sensor (measuring angular rates and accelerations), and a magnetometer. All turbulence sensors of the microRider and the sensor head of the Vector protruded horizontally, about 25 cm from the nose of the buoy, pointing to the mean flow. No probe guard was installed. MATS was located at about 8-m depth from the surface. The mean and standard deviation of the pressure record for the duration of the deployment was 8.2 ± 0.7 dbar. MATS sampled 15-min bursts every 1 h, at 512 Hz for the turbulence channels, at 64 Hz for the slow channels including the motion sensors, and at 16 Hz for the Vector.
For details of the instrument and data processing, the reader is referred to Fer and Bakhoday-Paskyabi (2013) and Bakhoday-Paskyabi and Fer (2013). In this study, dissipation rate measurements from the shear probes are used. MATS is not designed to move with the wave motions; the use of velocimeter data for turbulence measurements would require substantial corrections for the platform motion. We use the ADV data to infer the wave-band rms velocities, and the mean flow past sensors. The dissipation rate of TKE is measured by the shear probes, in the dissipation range of the turbulence spectrum, in the frequency range unaffected by wave motion (see Sections 3.3 and 4.4).
2.2 Dissipation rate calculations
Time series of dissipation rate is calculated using data from the shear probes of MATS. The output from the analog differentiator of the shear probe is converted to shear using the known sensitivity of the probe and water velocity past the sensor, recorded by the Vector. Two-second smoothed velocity sampled at 16 Hz is interpolated to the turbulence channel sampling rate before obtaining the shear using the Taylor’s hypothesis. Shear probes are mounted orthogonal to each other, and measure the components ∂ w/∂ x and ∂ v/∂ x. The 15-min burst time series are analyzed in half-overlapping 60-s segments. The frequency band 1 to 20 Hz of the shear spectrum, not affected by the wave motion, is used to ensure that the dissipation rates are not contaminated by the platform motion (Section 4.4). The frequency spectra of shear, Ψ(f), are converted to the wavenumber spectra using
where \(\mathcal {U}\) is the mean flow past the sensor, averaged over the 60-s duration of the segment, \(\tilde {k}\) is the wavenumber in cycles per meter (cpm). Each shear spectrum is corrected for the probe’s spatial response. Vibration contamination is removed using the accelerometer data, using the method outlined in Goodman et al. (2006). The dissipation rate of TKE for each segment is calculated using the isotropic relation for one shear component, for example for ∂ w/∂ x, as
where ν is the kinematic viscosity, and overbar denotes the spatial average. Integration is carried out between 2 cpm and an upper cutoff wavenumber k c , using an iterative procedure (Fer and Bakhoday-Paskyabi 2013), where k c is always less than 40 cpm to ensure a noise-free spectrum. The remaining part of the spectrum (the variance which is not accounted for) is integrated using the empirical Nasmyth spectrum (Oakey 1982). Ideally, the dissipation measurements from the two shear probes would be averaged; however, the shape of shear spectra from probe 2 and inferred dissipation rates are found to be erroneous, and we use only the measurements from probe 1. Then, the mean dissipation rate at each 15-min burst is obtained using the maximum likelihood estimator technique (Section 4.5).
The processing of MSS data is similar, and follows Fer (2006). In obtaining ε profiles from MSS, fall speed inferred from the rate of change of pressure, approximately 0.6 m s−1, is used in Taylor’s hypothesis. One-second (≈ 0.6 m) long segments are analyzed, and 1-m vertically averaged ε profiles are obtained by averaging over both shear probes.
3 Near-surface boundary layer model with wave effects
In this section, we briefly review the model of upper ocean mixed layer. Model equations are considered in Cartesian (z, t) coordinates where z points positive upward and all quantities are dimensional. The momentum balance equations are written in terms of Coriolis–Stokes forcing and vortex force to account the effects of Langmuir circulation. To meet the one-dimensionality assumption, we assume horizontal homogeneity of the velocity and temperature fields, and ignore the advection terms in the remaining of the paper (except for the vortex force term in Eq. 3 to highlight the general form of wave–current interaction and is ignored in the one-dimension model).
3.1 Wave energy balance equation
Realistic representation of the turbulence variability in the upper ocean requires reliable estimates of energy and momentum fluxes to the water column. Numerical modeling of surface gravity waves offers a way to estimate these fluxes by solving the energy balance equation. For deep water,
where S = S(f, 𝜃) is the two-dimensional wave energy spectrum which gives the energy distribution of the ocean waves over frequency, f, and propagation direction, 𝜃. In Eq. 2, c g is the group velocity, and S i n , S d i s s , and S n l describe the generation of ocean waves by wind, the dissipation of waves, and the nonlinear wave energy transfer, respectively (Komen 1987). Details of source functions relations used in this study can be found in Janssen (1991) and Bakhoday-Paskyabi et al. (2012).
3.2 Coriolis–Stokes forcing and vortex force
In a rotary frame of reference, the interaction between the Stokes drift and the planetary vorticity yields a force on the Eulerian momentum, which is referred to as Coriolis–Stokes forcing (CSF). Hasselmann (1970) illustrated that in the presence of the Earth’s rotation, the horizontal and vertical wave orbital velocities, are no longer in quadrature, but create a new wave-induced forcing to the water column. This body force, exerted by waves, can be presented as the divergence of a wave–induced stress, \(\rho \overline {\tilde {v} \tilde {w}}\), where \(\tilde {v}\) and \(\tilde {w}\) are the components of the rapidly varying wave orbital velocities along the wave crest and vertical directions, respectively, and ρ is water density (Hasselmann 1970; Polton et al. 2005; Rascle and Ardhuin 2009; Bakhoday-Paskyabi et al. 2012).
In the nonsteady case, the (quasi) Eulerian mean currents (wave-phase-averaged mean flow) are governed by the wave-modified momentum equations as follows (McWilliams et al. 1997):
where the boldface denotes vector quantities, u = (u, v, w) is the quasi-Eulerian mean current that can be understood as the Eulerian mean current (Jenkins 1987), u′= (u′, v′, w′) is the random turbulent velocity fluctuation, overbar denotes time averaging, u s = (u s , v s , 0) is the Stokes drift, f c o r is the Coriolis parameter, and \(\hat {z}\) denotes a vertical unit vector pointing positive upward. The CSF term is defined by Hasselmann (1970) as
The unknown Reynolds stresses \(\overline {u'w'}\) and \(\overline {v'w'}\) in term 1 are defined using the well-known closure relations as follows:
where ν t is the vertical eddy viscosity. Term 2 is the vortex force (McWilliams et al. 1997; Tang et al. 2007) which is responsible for producing Langmuir circulation. p ∗ is the modified pressure by the Stokes drift (Bernoulli term):
where p a is the air pressure, ρ 0 is the reference density, g is the gravitational acceleration, ξ is the vertical displacement of the free surface, and |·| denotes magnitude of a vector. The last term in Eq. 3 denotes the wave-induced transfer of momentum from wave to the mean current as a result ofwave energy dissipation, that is defined as follows (Jenkins 1987):
where k = k(cos 𝜃, sin 𝜃) is the wavenumber vector that can be prescribed through the dispersion relation (36). Here, the wave-induced momentum transfer has an exponential decay away from the sea surface by a vertical distribution of exp(−2k|z|).
3.3 Coupling through wave-induced stress
Surface gravity waves influence the air flow (Miles 1957). Interaction between wave-induced oscillations and the mean air flow in the turbulent atmospheric boundary layer induces pressure fluctuations on the water surface, in phase with the surface slope, which cause transfer of energy and momentum from the mean air flow to the wave field (Janssen 1989; Jenkins 1992). The dependence of the air–sea momentum flux on the wave field may be approximated by a wave-dependent air-side aerodynamic roughness length, \(z_{0}^{a}\), which increases with wind speed. Changes in \(z_{0}^{a}\) feedback into the wind speed profile U(z) (under neutral conditions) via the logarithmic turbulent boundary layer relation as follows:
where κ ≈ 0.4 is the von Kármán constant. In this study, the air-side surface roughness length is computed following Janssen (1989), using a variable Charnock parameter α v :
where \(u_*^{a} = \sqrt {|\tau _{wind}|/\rho _{a}}\) is the air-side friction velocity in m s−1, τ w i n d is the wind stress (air–sea momentum flux) in N m−2, ρ a is the air density, z 0 m i n = 1.59 × 10−5 m is the minimum roughness length, and
where R = |τ w a v e |/|τ w i n d |. The variable Charnock parameter α v has minimum and maximum values of α m i n = 0.01 and α m a x = 0.31, respectively. When no wave information is available, a constant α v = 0.0185 is used. τ w a v e is the wave-induced stress used in the surface momentum flux boundary condition to impose a reduction in wind stress as a result of generation of surface gravity waves:
Following Jenkins (1987), we define
where S i n is the wind energy input source term (23), ω = 2π f is angular frequency, and \(\textbf {k}=k\hat {\textbf {k}}\) is the horizontal wavenumber with modulus k and direction \(\hat {\textbf {k}}\).
3.4 Langmuir circulation and turbulence closure
The Stokes drift and the associated vortex force have been considered as the responsible mechanisms for driving Langmuir circulation (LC), as a result of the interaction with the wind-driven surface shear (Kantha and Clayson 2004). Furthermore, the Stokes drift production enhances vertical mixing by fluxing energy through the sea surface, and by TKE production associated with Stoke drift shear (Anis and Moum 1995; Gerbi et al. 2009). To include the Stokes production term in the TKE budget equation, we use second moment turbulence closure models that are derived from the Reynolds averaged Navier-Stokes (RANS) equations. They are then closed by assuming a local equilibrium and finding second moment parameterizations for the unknown third moments.
3.4.1 The k model
As a consequence of adding the CSF and the vortex force to the momentum equations, the equation governing TKE per unit mass, k, must be modified (Here, k should not be mixed with the wavenumber). Thus, the modified k-equation is given as follows:
where “·” denotes dot–product in the vector space, term 1 is the rate of change of TKE, term 2 is the production of TKE by mean shear (P c u r r ), term 3 is the Stokes production (P S t o k e s ), term 4 is the buoyancy production/dampening (P b ), where b′ is the buoyancy perturbation, \(\tau =-\rho _{0}(\overline {u'w'},\overline {v'w'},0)\) is the Reynolds stress vector, and ε is the dissipation rate of TKE per unit mass. Term 5 represents the vertical diffusive transport of TKE, where σ k denotes the Schmidt number for TKE. The delicate coupling between turbulence and pressure fluctuations near the sea surface is given in term 6, where \({T}=\overline {p'w'}/\rho _0+\overline {\textbf {u}'\textbf {u}'w'}\) is the vertical transport of TKE. However, due to difficulty in estimating the pressure term, we determine it from the energy transport caused by wave energy dissipation into the interior ocean (Janssen 2012). By ignoring the triple-correlation term from T and assuming that wave breaking/white capping generates the pressure work near the sea surface, term 6 can be approximated from the vertical derivative of
where z 0 is the water-side roughness length (Section 3.6).
3.4.2 The ε model
The dissipation rate of TKE can be transported via
where σ ε is the dissipation Schmidt number, and C 1, C 2, C 3, and C 4 are empirical coefficients. In contrast to the exact expression of the k model, the ε model is an empirical equation dependent on empirical constants (Burchard and Bolding 2001). σ ε is one such empirical parameter with values ranging from 0.8 to 1.11, and for the law-of-the-wall (LOW), in the case of steady state and constant stress conditions,
where c μ is the stability function that is used to determine the magnitude of eddy viscosity, ν t , in the k–ε model (19). Here, following Burchard (2001) and using the terminology of Stips et al. (2005), σ ε in the wave-affected boundary layer (WABL), where the shear production is relatively small compared to the dissipation, is calculated as follows:
Here,
where P c u r r , P S t o k e s , and P b are the shear production, Stokes production, and buoyancy production/dampening terms of Eq. 12, that can be written using the eddy viscosity, ν t , and eddy diffusivity, ν′t, as
Here, the shear, M, buoyancy frequency, N, and wave–current interaction, M s , terms are defined as follows:
Using stability functions for momentum and tracers, c μ and c′μ, respectively, the eddy viscosity and diffusivity are obtained as follows:
Empirical constants for the ε model used in this paper are given in Table 2, and values for C 3 are obtained depending on the stability function (Burchard and Bolding 2001; Umlauf et al. 2003; Kantha and Clayson 2004; Umlauf and Burchard 2003).
The turbulence length scale, l, in terms of k and ε is calculated as follows:
where \(c_{\mu }^{0}\) is an empirical constant (Table 2).
3.5 Wave breaking and boundary conditions
3.5.1 Wave breaking
Surface gravity waves enhance production of TKE and its dissipation, especially in windy conditions, producing a large deviation from the usual balance between the production, dissipation, and buoyancy terms of the TKE budget. Kitaigorodskii et al. (1983) found that turbulence level depends on surface waves, and dissipation rates measured near the sea surface are 1 or 2 orders of magnitude larger than those predicted by the LOW:
Gargett (1989) suggested that near the sea surface, ε follows a |z|−4 power law. Craig and Banner (1994) obtained |z|−3.4. Terray et al. (1996) found |z|−2 that was supported by measurements of Drennan et al. (1996). The considerable disagreement between different authors suggests that the decay of dissipation rate does not follow a simple power law, and merits further investigations.
A number of one-dimensional vertical models have been developed to capture the effects of surface gravity waves. Craig and Banner (1994) and Craig (1996) employed the level \(2\frac {1 }{2}\) turbulence closure model of Mellor and Yamada (1982) to predict near-surface turbulence. They modeled the wave breaking effects by prescribing an additional energy injection mechanism as the surface boundary conditions to the TKE and mixing length equations. Using a 1D mixed layer model, Kantha and Clayson (2004) modified the two-equation second moment closure model of turbulence to account for the injection of TKE into the upper ocean by wave breaking and Langmuir cells. Their results showed that wave breaking enhances turbulence mixing in the upper few meters, whereas the energy input to the turbulence from the Langmuir cells drives deeper mixing. Rascle et al. (2006) used a single evolution TKE equation to study mixing due to breaking wave effects and wave–turbulence interactions based on a generalized Lagrangian mean technique. Recently, Bakhoday-Paskyabi et al. (2012) modified the GOTM system based on a theory of wave–current interaction (Jenkins 1987) by including Coriolis–Stokes forcing, wave-induced momentum reduction, and a wave-induced vertical momentum redistribution term. They emphasized the role of Stokes drift in modifying upper ocean variability among other wave forcing parameters. A common technique to simulate wave breaking in all of these 1D models is the parametrization of the TKE flux at the surface as follows:
where β is a parameter dependent on the wave age, the phase speed of waves, and the air-side friction velocity. Wang and Huang (2004) assumed that the surface TKE flux is equal to the wind energy input, and obtained β = 80 from observations. The rate of wind energy input, F k , to the waves is determined by integration of the wind energy input source term for all frequency and directions (Kantha and Clayson 2004; Bakhoday-Paskyabi et al. 2012):
where Θ = max[0, cos(𝜃−𝜃 w )], 𝜃 w is the mean wind direction, and β w is the Miles constant (Janssen 1991). The least squares regression between Eqs. 23 and 22 gives a proper value for β, specifically for the developed seas. For young waves with wave age roughly less than 13, β cannot be assumed constant, and the flux of TKE can be determined in terms of the wave energy dissipation as follows:
3.5.2 Boundary conditions for the k-equation
The balance of vertical energy flux and TKE from breaking waves in the surface is expressed by either flux Neuman or Dirichlet boundary conditions. The flux boundary condition can be written, for example, in the k–ε model as follows:
For the lower boundary condition at the sea bottom, a zero flux of turbulent energy is assumed. Craig (1996) obtained an analytical steady-state solution of Eqs. 3 and 12 with the boundary condition (25) that can be used to derive the surface Dirichlet boundary condition for TKE (at z = z s ) as follows:
where
In equation 26, a = 1 and a = 0 are used for shear flows and the pure wave breaking conditions, respectively (Burchard 2001; Carniel et al. 2009).
3.5.3 Boundary conditions for the ε-equation
To obtain the flux boundary condition for ε, the vertical derivative of ε, defined by Eq. 20, is taken as follows:
By defining the length scale as l = κ(z 0 − z), and using Eq. 25, the flux boundary condition for ε at z = z s becomes
The Dirichlet boundary condition for dissipation rate of TKE at surface (in the presence of wave breaking) is obtained using boundary condition (25) and 22 as follows:
where m is defined in Eq. 27 (Burchard 2001), a is introduced in Section 3.5.2, and A ε is
3.6 Water-side roughness length
Bye (1988) used Charnock-type relationship for determining the water-side roughness length:
Churchill and Csanady (1983) suggested α = 1,400 according to the near-surface velocity measurements. In the presence of waves, based on experimental evidence, Terray et al. (1996) showed that α in Eq. 31 is not a constant, and proposed that z 0 should be parameterized via the significant wave height, z 0 ∼ O(H s ). Using a data set from the Knight Inlet, Stacey (1999) obtained α ≈ O (105) and z 0 = 0.5 H s . Gemmrich and Farmer (1999) found that z 0 = 0.2 m, independent of H s , which had a mean value of 4.5 m during their experiment. Soloviev and Lukas (2003) obtained α = 90,000 based on fit between model data and field data. Stips et al. (2005) found a better agreement between model data and their observations using α = 14,000. Jones and Monismith (2007) used α = 32,000 as a suitable choice for improving their model results. Hence, the actual value of z 0, especially during strong and intense wind events, is still at debate.
Using the common practice, we use Charnock-type relationship (31) with α = 1,400 to calculate water-side roughness length for all simulation runs.
4 Results and discussion
4.1 Atmospheric forcing
Since the surface buoy measurements from the WS only covered a short period at the start of experiment, we use Vigra station data as the main meteorological data set for forcing the numerical runs (Fig. 2). Figures 2a, b show the wind speed and direction for the period of experiment from October 25 to 30, 2011. During the field work, the wind speed ranged from 1 to 15 m s−1 with direction typically confined within from southeast and southwest from which the wind is emanating. Two major wind events can be observed at noon of October 26 and 28 with speeds of 10.8 and 15.0 m s−1, respectively. For the remaining periods, the prevailing atmospheric conditions were calm. The air temperature was typically about 1.0–2.5 oC warmer than the water temperature, except for some hours during the cruise when cooler air was advected over the experiment site, especially during the two major wind events (Fig. 2d).
The surface momentum fluxes, sensible heat, and latent heat are calculated using the bulk formulae of Kondo (1975). Net long wave flux is derived from the Clark et al. (1974) bulk formulae. Figure 2c shows the variability of the net heat flux into the water column. Relatively weak net surface flux conditions are interrupted substantially during the second major wind event with negative heat fluxes reaching −250 W m2.
4.2 Nondirectional wave energy estimate
To measure the nondirectional surface wave energy spectrum, we use high-resolution pressure and motion package measurements from the MATS. The high-resolution pressure data measured in the platform body frame are first corrected for the platform motions by removing the contribution from the pitch and the acceleration. The motion-corrected pressure data are then corrected for the attenuation with depth, and converted to surface wave spectra using the linear wave theory. To avoid spurious growth of noise, the high-frequency end of spectrum is extrapolated using a f −5 power law beyond a cutoff frequency. It should be pointed out that the sea surface bulk parameters, especially those calculated from the higher order moments of the wave spectrum, are sensitive to the cutoff frequency and the parametrization of the high-frequency spectral tail.
Figure 3 shows air-side friction velocity and the comparison of significant wave height, H s measured by WS and the MATS. The WS is a purpose-built wave buoy and provides accurate measurements of H s . In general, the wave parameters estimated from MATS are in good agreement with the WS for the most of the bulk parameters, especially for the significant wave height and wave mean period, T m . However, estimated wave peak period shows more sensitivity and bias in some portions of the time series due to uncertainty in the extrapolation of the high-frequency tail. Figure 3b shows that the temporal distribution of the significant wave height is connected to the wind forcing and local fetch effect. Early in the record, due to short local fetch and duration of wind during the first major wind event, the wave field cannot build up. Large mechanical wind energy from the strong southwestward surface wind field on day 300.5 is transferred to the wave field. This wave field developed after the second major wind event and remained strong despite the decaying wind speed.
4.3 Wave-induced forcing
The evolution of wave energy spectrum is shown in Fig. 4a. During the second major wind event on October 28, an increase in the peak frequency is accompanied by an increase in the spectral level.
The Stokes drift in a deep, rotating ocean can be approximated from the one-dimensional wave energy spectrum, S(f):
where ω is angular frequency, and k is horizontal wavenumber. The Stokes drift evolution shows a high correlation with the surface gravity wave variations in the equilibrium range, especially when the large mechanical wind energy is transferred to the surface waves on October 28 (Fig. 4b). During the second major wind event on day 300.6, \(\textbf {u}_{s}^{1D}\) increases because of substantial contributions of the higher frequency components of the gravity waves. The vertical distribution of the Stokes drift into the deeper water is associated by the lower frequency components of wave energy spectrum. Figure 5 shows the time series of the wind stress components, \(\tau _{wind}=(\tau ^{x}_{w},\tau ^{y}_{w},0)\), inverse of wave age, and the Stokes drift speed at the sea surface. During the windy period, the Stokes drift speed reaches 0.5 m s−1. The larger wind speed values are usually associated with younger waves (small values of \(c_{phase}/u_{*}^{a}\)), as shown in Figs. 5c, a. The importance of Langmuir circulation (LC) on producing turbulence can be inferred from the turbulent Langmuir number as follows:
For L a t < 0.3, LC effects become significant. During the major wind event on day 300.5, L a t is typically between 0.1 and 0.4, indicating that LC effects are significant enough to enhance upper ocean mixing (Fig. 5d). Note that this parameter is inversely correlated to the Stokes drift e-folding depth (compare Figs. 4b and 5d).
4.4 The effect of surface waves on dissipation measurements by MATS
According to the linear wave theory, the horizontal and vertical components of wave orbital velocities at depth z are given as follows:
and
where d is the total water depth, ψ m = σ m t + ϕ m , and n is the total number of wave components. In the absence of Doppler shifting of wavenumber k m , the radian frequency σ m is prescribed by dispersion relation as follows:
where m = 1, ..., n and η m (t) = a m cos(σ m t + ϕ m ) is mth component of sinusoidal wave with amplitude a m , and random phase ϕ m .
In Fig. 6, the frequency spectra from the shear probes are compared to the equivalent spectrum of shear induced by the vertical component of wave orbital velocity, \(\tilde {w}\), at the measurement depth. Spectra of the orbital horizontal components are approximately equal to that of \(\tilde {w}\), and are not shown. There is a significant variance in the wave frequency range, in this burst with a peak at 10-s period, which rapidly decays with frequency. The contribution of the wave-induced shear to the turbulence range used in this study is negligible. The time series from the second shear probe, SH2, consistently show suppressed variance in the wave range and elevated variance in the turbulence range. The shape and amplitude of the spectra form SH2 cannot be explained in the light of motion and vibration sensors, and we discard SH2 from the analysis. The spectra from the accelerometer data and the vibration sensor are rescaled to the equivalent units of shear and represent the variance in the low frequency wave band (GAz) and in the high-frequency range ( > 1 Hz, VAz), respectively. Here, only the vertical components (GAz and VAz) are shown; however, the spectra from the other components are similar. There is significant acceleration in the wave frequency range, on the same order as the shear probe signal. The shear probe signal in the frequency band 1–20 Hz is less affected by the wave motions (typical of all bursts), and the high-frequency vibration. In calculation of the dissipation rates, the frequency range between 1 and 20 Hz is used. This ensures that the signal is not corrupted by the substantial variance induced by wave orbital velocities, low-frequency platform motion, and the high-frequency noise due to vibration.
4.5 Comparisons between model runs and observations
The one-dimensional mixed layer GOTM system based on k–ε type second moment closure of turbulence is used to study wave forcing effects on the upper ocean turbulence variations. The model is set up at the location of MATS, and it is assumed that all measured data used to force model are representative of this location. We use a temporal resolution of △t = 10 s, and a vertical nonequidistance resolution with a slight zooming to the surface. Table 3 contains the naming and labeling conventions used in the numerical study. In total, three runs were made, no wave (NW) run, and two runs with different wave forcing terms (W1 and W2) summarized in Table 3. It should be noted that in both with wave-forced simulation runs, we use the wave-induced momentum redistribution term (6) and do not use wave breaking production term (vertical derivative of Eq. 13), which are not listed in Table 3.
Kantha and Clayson (2004) included LC in turbulence closure models by adding the Stokes drift production term to the TKE and length scale equation, and recently Harcourt (2013) extended the model of Kantha and Clayson (2004) to include Langmuir turbulence effects in the algebraic Reynolds stress model resulting in modification of stability functions and the turbulent flux closure. In this study, we examine two types of modifications for estimating wave–turbulence interaction term. First, we choose Stokes production term introduced in Eq. 17 using eddy viscosity relation 19. Secondly, we use the parametrization introduced by Huang and Qiao (2010). In Eq. 12, we assume the dissipation rate is balanced by the production terms in the TKE equation as ε = P c u r r +P S t o k e s .
Following Huang and Qiao (2010), P S t o k e s is replaced by
where |·| denotes the magnitude of vertical gradient of Stokes drift vector, and a 1 is a nondimensional constant associated with the surface gravity waves which can be prescribed by regression against the observations of ε collected by Anis and Moum (1995) as follows:s
where λ is wavelength and β ″ is a dimensionless constant between 0 and 1. Huang and Qiao (2010) validated the skill of their parametrization by comparing to the observations of Anis and Moum (1995), Wüest et al. (2000), and Osborn et al. (1992). Figure 7 shows time evolution of estimated a 1 during the course of our experiment with values ranging between 0.6 and 2.4. As expected, there is a high correlation between the significant wave height and a 1.
The observed temperature, T, is assimilated into the model in the upper 60 m of the water column, using a relaxation time scale of 12 h. Temperature record at mooring M shows a thermally stratified mixed layer for the whole campaign. Oscillation of temperature is modulated by vertical pycnocline motions at the base of mixed layer, with the heat fluxes into the water and major wind events (Fig. 8b). The resulting temperature field for the NW run is shown in Fig. 8a, compared with the observed temperature (Fig. 8b). Although this good agreement between the modeled and observed temperature is expected after because of the relaxation, the assimilation is crucial to successfully model the turbulence variability near the sea surface.
Figure 8 compares the depth-time evolution of the observed and modeled TKE dissipation rate for NW, W1, and W2 runs. It should be noted that the use of a tethered free-falling profiler cannot make it possible to measure the dissipation rate accurately near the sea surface due to contaminations induced by the ship’s wake, wave orbital velocities, the oscillations, and vibrations induced by the tether. Thus, we confine our comparisons near the sea surface for depths between 5 and 60 m. The dissipation profile measurements are limited to four short periods (Table 1). The periods when the strong wind and waves can be expected to produce the highest TKE injection into the near-surface water column were not sampled. Measurements of ε show-small scale variability that may be attributed to the intermittency of turbulence (Fig. 8). Elevated values of ε penetrate deep into the water column following the period with increased surface stress.
Figure 8d, e show the model simulation results for the dissipation rate of TKE with wind and wave forcing. Because of the sparse sampling during the experiment, we cannot conclude on the skill of the GOTM wave modifications to reproduce the dissipation rates realistically. Nonetheless, enhanced dissipation rates near the surface, especially by the end of experiment after the major wind event on October 28, are notable features in both observations and model simulation results. Figure 8d, e also show that the enhanced dissipation rates occur not only near the sea surface due to breaking waves, but also throughout the active-mixed layer. In the absence of wave effects during wind events, the simulation predicts weaker ε (Fig. 8c). Including the wave effects, especially in the W2 run, results in a strong regulation of the vertical mixing near the sea surface, and produces deeper penetrating enhanced dissipation rates relative to the W1 simulation. The covariability of ε with the air-side friction velocity shows that effects of wave–current–turbulence depend on the wind stress magnitude. During calm conditions on days between 299 and 300, the Stokes production of TKE plays an insignificant role in the regulation of the vertical TKE budget. Under the high wind and wave conditions on October 28, the Stokes production term dominates the shear production, and ε increases throughout the actively mixing layer.
At the sea surface, the eddy viscosity, ν t , scales with the air-side friction velocity and the water-side roughness length. In the deeper parts of water column, it is connected to the stratification, turbulence, and mean current variations in a more complex way. Figure 9 shows the relationship between wind and ν t for no wave and with wave simulation runs. The eddy viscosity, as expected, is small near the sea surface during the low wind periods, and increases substantially during high wind events. Under wave forcing, the vertical distribution of eddy viscosity is highly correlated to the wavelength. Furthermore, in the period with less energetic winds and waves, days between 299.5 and 300.2, the NW simulation run is roughly proportional to wind forcing, whereas including waves increases ν t in accordance with the temporal evolution of surface gravity wavelength. These vertical and temporal behaviors of ν t in the presence of surface gravity waves suggest that one can estimate the eddy viscosity near the sea surface using dimensional analysis as,
where l w is a wave-induced length scale proportional to the wavelength λ. Additionally, Qiao et al. (2004) proposed that this wave-induced length scale is proportional to the wave particle displacement. Meanwhile, they used this length scale to produce an additional wave-induced vertical kinetic viscosity component, \(B_{\nu }=\overline {l_{w}\tilde {w}}\) where \(\tilde {w}\) denotes vertical component of wave-induced fluctuation to the conventional eddy viscosity expression. Using linear wave theory, they obtained B ν as follows:
where S(k) denotes the wave energy spectrum in the wavenumber vector space, \(\textbf {k}=k\hat {\textbf {k}}\), and α ν is a calibration parameter. Comparing the modified eddy viscosity (and modified eddy diffusivity) effects on the numerical simulation of upper ocean turbulence variability with those obtained by NW, W1, and W2 runs is not the scope of current study. Therefore, we do not provide such comparisons here.
Production of turbulence was dominated by wind and wave forcing throughout the experiment. During the period of strong cooling on October 28, the TKE production by shear was about several orders of magnitudes greater than the production due to buoyancy flux. In all other MSS profiling periods, the water column was statically stable. The vertical distribution of gradient Richardson number (R i = N 2 M −2) in the water column suggests that the background mean shear was not strong enough to contribute to the turbulence production, except during the last set of measurements when the water column was marginally stable for shear instability. R i is calculated using the squared buoyancy frequency, N 2, from temperature and salinity profiles measured by MSS, and squared shear, M 2, from an uplooking ADCP measurements located at 80 m below the sea surface. The values of N 2 and M 2 are temporally averaged at each of four MSS sets. Figure 9 indicates generally that the observed mean current shear during the course of experiment cannot account for the elevated levels of turbulence evident in the observations and the modeling results.
Figure 10 shows the scatter plot of dissipation rate of TKE measured at 8-m depth versus wind speed at 10-m height. Observed ε from MATS and MSS are reasonably correlated with each other (with a correlation coefficient of 0.62) and correlate monotonically with the wind speed. Moreover, the dissipation rates cover values from 3 × 10−9 W kg−1 during the low wind speed conditions to 10−5 W kg−1 in windy conditions. The minimum ε measured by MSS is about 3 × 10−9 W kg−1 which is near the noise level for this instrument. The lowest value of dissipation rates inferred from the MATS shear probes is about 2 × 10−8 W kg−1, suggesting that MATS shear probes for measuring dissipation rates may have higher noise level than the MSS shear probes.
In Fig. 8b, the nature of observed dissipation rates demonstrates strong intermittency. The strong variability of ε near the sea surface in the response to the change of wind speed and direction necessitates an appropriate way to average such an intermittent and complex variable. Following Baker and Gibson (1987), we use a maximum likelihood estimate (MLE) for the mean dissipation rate of TKE. In the case of log–normal distribution of ε, the MLE mean value is
where μ is the arithmetic mean, and σ 2 is the variance of ln(ε).
In the case of model simulation results, the arithmetic mean value is a good estimator for the expected value of ε. To investigate depth dependence of dissipation rates of TKE in more detail, we present MLE profiles of ε measured by the MSS and MATS for the four identified periods of MSS profiling. Figure 11 shows the set averaged, measured, and modeled profiles of ε. A larger variability close the sea surface can be seen in response to the wind and wave forcing. The W2 modeled profiles of ε agree with observations fairly well, suggesting that the shear generated by the Stokes drift is a likely mechanism for enhancement of ε in the water column away from breaking-wave affected zone. However, under the low wind speed, observations of ε show unexpected quite high turbulence levels (Fig. 11). Generally, a good agreement is seen between the MATS-inferred ε and the dissipation rate measured by the MSS. Only in the third period there is a clear discrepancy between the two measurement systems (MATS and MSS) at the depth of MATS, when wind speed increases to 7 m s−1. A comparison of profiles of ε and R i (shown in Fig. 9) suggests that ε increases near the surface with decreasing values of R i.
s
Averaging in time may smooth out the changes in the structure of turbulence in varying wave forcing conditions. To delineate the influence of wave forcing, we select ensembles of profiles during: low (H s ≤ 1 m), moderate ( 1 < H s <2 m), and high wave (H s ≥ 2 m) conditions. Ensemble-averaged ε profiles for each case along with ensemble average of wave energy spectrum are shown in Fig. 12. Under moderate wave conditions, there is a significant deviation between the MATS and MSS observed ε at the depth of MATS, compared to the other wave conditions. Because of removing the larger percentages of points measured by MSS near the sea surface, the confidence intervals (gray shaded regions) are larger near the sea surface than those in the deeper part of water column. Moreover, the agreement between measurements and model runs is better when wind and wave activities are accounted for all three wave periods.
Figure 13 shows a direct comparison of time series ε measured by the MATS’s shear probe, and by the MSS profiler, ε M S S , averaged at the depth of MATS, as well as ε extracted from the model simulations. Time series are averaged in 1-h intervals (using MLE). Estimates of ε M S S are averaged in the vertical within 2 m centered at the depth of MATS. Estimates of dissipation rates from MATS are shown with their corresponding 95 % confidence intervals. Error bars are relatively small except at a period before the fetch-limited wind event on October 26, and also before the major wind event between days 299 and 300. The two independent observations of ε are fairly correlated, except for the period at the end of experiment, and for a period when the wind speed dropped to below 2.5 m s−1. Furthermore, model results from NW, W1, and W2 simulations are compared with the measured dissipation rates of TKE. Model results predict the dissipation rate enhancement of several order of magnitude, few meters below the sea surface due to wave breaking (not shown here). This enhancement clearly extends to our measurement depth of about 8 m below the sea surface, mainly due to the increase of shear stress by the wave-induced shear production of TKE. The NW results underestimate the observed ε, especially during the major wind events. Although both W1 and W2 results improve prediction of dissipation rates during the two major wind events, they cannot capture the turbulence variability at the depth of MATS for a period when the wind speed dropped below 2.5 m s−1. Comparisons of modeled and observed ε reveal large deviations which can be attributed to intermittency, statistics, and platform motion-induced contaminations.
The modeled and observed estimates of ε are further compared with the empirical prediction of Terray et al. (1996) extracted from the deep water wave breaking scaling as (hereafter referred as TA96)
where F k is the breaking wave-induced flux of TKE into the water column defined in Eq. 22 using β = 100. Generally, comparisons show that the TA96 estimates of ε agree fairly well with W1 and W2 runs, especially during the strongest wind event (Fig. 14).
The near-surface observed and modeled dissipation rate profiles are scaled using H s and F k as suggested by TA96. In Fig. 15, data and model results from this study are compared to the published observations carried out by Gerbi et al. (2009), as well as model dissipation rates from Burchard (2001). The normalized profile of ε from MSS agrees well with those from (Gerbi et al. 2009) and TA96. Meanwhile, in all MSS profiling periods, there is a good agreement among ε derived from the three different techniques and instruments at the depth of MATS (Fig. 16).
5 Summary
Measurements of dissipation rate of TKE from two different instruments have been qualitatively compared to results from the GOTM system modified to account for wave forcing including the injection of TKE into the water column from wave breaking and wave–turbulence interaction. The measurements of dissipation rate were made as profiles using a tethered free-fall microstructure profiler (MSS) deployed from the ship, and as continuous time series at a fixed depth using a moored system (MATS). The dissipation rates observed by shear probes on the MATS were consistent with those obtained by MSS profiler at the depth of MATS turbulence sensors, and they showed an enhancement of dissipation rate near the sea surface relative to that predicted by law of the wall. Furthermore, the observations of ε were compared with the empirical relation of Terray et al. (1996) at the depth of MATS. Both measurements of ε were fairly consistent with the TA96 estimates of dissipation rates. Comparisons between the wave-normalized ε measurements as suggested by TA96 from this study with those published by Gerbi et al. (2009) revealed a good agreement, especially at the depth of MATS.
We modified GOTM by including wave breaking effects and the interaction of the mean current shear with the Stokes drift. To estimate wave–current parameterizations, we used data of the high-resolution pressure sensor and the accelerometer sensor mounted on the MATS. Obtaining enhanced dissipation rates in the low wind speed and deepening of TKE injection into the water column in the regions far away from wave breaking affected zone (a few meters below the sea surface) suggest that wave–turbulence interaction plays a significant role in the regulation of turbulence distribution near the sea surface. To show this numerically, we applied two types of parameterizations for wave–turbulence interaction by modifying k–ε turbulence closure model. Comparing observed and modeled simulations confirmed that the wave-modified GOTM results, especially derived from Huang and Qiao (2010) parametrization, can approximately predict the distribution of TKE in the upper ocean by significant deviation from the NW results for the moderate and high wind conditions. Under the low wind speed conditions between days 299 to 300, observations showed quite high turbulence levels which could not be captured by any of the model runs and the TA96 parametrization. Generally, these discrepancies can be explained by surface cooling (Fig. 2c, d) or current shear instability (Fig. 9). Calculations of gradient Richardson number suggest that the current shear instability was not able to enhance turbulent mixing and dissipation during the experiment. During the periods with energetic wind and waves, near-surface enhancements of TKE and the vertical extent of increased dissipation rates were consistent with the measurements. The agreement with the observations improved when wave forcing, especially Stokes production, is included. However, there remain some differences between observed and modeled ε in some periods of the experiment, in our opinion due to uncertainties in the estimation of wave energy spectrum from a moving platform, spatial separations between measuring systems, in using a nondirectional wave energy spectrum, in wave forcing parameterizations, atmospheric surface forcing, and due to the intermittent characteristic of turbulence microstructure in the water column.
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Acknowledgments
This work has been partially funded by the Norwegian Center for Offshore Wind Energy (NORCOWE) under grant 193821/S60 from Research Council of Norway (RCN). NORCOWE is a consortium with partners from industry and science, hosted by Christian Michelsen Research. Furthermore, the comments of the anonymous reviewers helped to improve the manuscripts.
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This article is part of the Topical Collection on the 16th biennial workshop of the Joint Numerical Sea Modelling Group (JONSMOD) in Brest, France 21–23 May 2012
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Paskyabi, M.B., Fer, I. Turbulence structure in the upper ocean: a comparative study of observations and modeling. Ocean Dynamics 64, 611–631 (2014). https://doi.org/10.1007/s10236-014-0697-6
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DOI: https://doi.org/10.1007/s10236-014-0697-6