The effectiveness of offshore three‐dimensional seismic surveys—Case histories

Geophysics ◽  
1985 ◽  
Vol 50 (12) ◽  
pp. 2411-2430 ◽  
Author(s):  
P. S. Horvath

Gulf began investigating three‐dimensional seismic surveys in the mid‐1960s through Gulf Research and Development Company. During the late 1960s, models were constructed to simulate acquisition and processing. Three‐dimensional (3-D) migration was achieved in the early 1970s, and Gulf began field testing 3-D seismic data acquisition in 1974. By 1978, 3-D seismic surveys were available as a commercial service through contractors. Some advantages that 3-D seismic surveys have over 2-D seismic surveys are: they can help refine both structure and stratigraphic interpretations; they assist in defining the paleogeology and reveal details otherwise not apparent; they help determine the reservoir limits through improved interpretation of the structure and hydrocarbon indicators; they enable the acquisition of subsurface control under surface obstructions, such as platforms, rigs, etc.; they provide the opportunity to construct profiles in any direction desired; and they lend themselves to interactive interpretation. When using 3-D seismic surveys, improved seismic resolution is expected. This in turn improves drilling success and finding new reserves, makes the development drilling program more efficient, and provides the best possible location for a wildcat survey. The results achieved in 16 3-D seismic surveys that cover 26 blocks in the offshore Gulf of Mexico reveal that offshore 3-D seismic surveys can be a cost‐effective way of finding and developing hydrocarbons.

1999 ◽  
Vol 2 (04) ◽  
pp. 325-333 ◽  
Author(s):  
R.A. Behrens ◽  
T.T. Tran

Summary Three-dimensional (3D) earth models are best created with a combination of well logs and seismic data. Seismic data have good lateral resolution but poor vertical resolution compared to wells. The seismic resolution depends on seismic acquisition and reservoir parameters, and is incorporated into the 3D earth model with different techniques depending on this resolution relative to that of the 3D model. Good vertical resolution of the seismic data may warrant integrating it as a continuous vertical variable informing local reservoir properties, whereas poor resolution warrants using only a single map representing vertically averaged reservoir properties. The first case best applies to thick reservoirs and/or high-frequency seismic data in soft rock and is usually handled using a cokriging-type approach. The second case represents the low end of the seismic resolution spectrum, where the seismic map can now be treated by methods such as block kriging, simulated annealing, or Bayesian techniques. We introduce a new multiple map Bayesian technique with variable weights for the important middle ground where a single seismic map cannot effectively represent the entire reservoir. This new technique extends a previous Bayesian technique by incorporating multiple seismic property maps and also allowing vertically varying weighting functions for each map. This vertical weighting flexibility is physically important because the seismic maps represent reflected wave averages from rock property contrasts such as at the top and base of the reservoir. Depending on the seismic acquisition and reservoir properties, the seismic maps are physically represented by simple but nonconstant weights in the new 3D earth modeling technique. Two field examples are shown where two seismic maps are incorporated in each 3D earth model. The benefit of using multiple maps is illustrated with the geostatistical concept of probability of exceedance. Finally, a postmortem is presented showing well path trajectories of a successful and unsuccessful horizontal well that are explained by model results based on data existing before the wells were drilled. Introduction Three-dimensional (3D) earth models are greatly improved by including seismic data because of the good lateral coverage compared with well data alone. The vertical resolution of seismic data is poor compared with well data, but it may be high or low compared with the reservoir thickness as depicted in Fig. 1. Seismic resolution is typically considered to be one-fourth of a wavelength (?/4) although zones of thinner rock property contrasts can be detected. The seismic resolution relative to the reservoir thickness constrains the applicability of different geostatistical techniques for building the 3D earth model. Fig. 1 is highly schematic and not meant to portray seismic data as a monochromatic (single-frequency) wave. The reference to wavelength here is based on the dominant frequency in the seismic data. Fig. 1 is meant to illustrate the various regimes of vertical resolution in seismic data relative to the reservoir thickness. While there are all sorts of issues, such as tuning, that must be considered in the left two cases, we need to address these cases because of their importance. Seismic data having little vertical resolution over the reservoir interval, as in the left case of Fig. 1 can use geostatistical techniques that incorporate one seismic attribute map. The single attribute can be a static combination of multiple attributes in a multivariate sense but the combination cannot vary spatially. These techniques include sequential Gaussian simulation with Block Kriging1 (SGSBK), simulated annealing,2 or sequential Gaussian simulation with Bayesian updating.3,4 Some of these methods are extendable beyond a single seismic map with modification. Seismic data having good vertical resolution over the reservoir interval, as in the right seismic trace of Fig. 1, can use geostatistical techniques that incorporate 3D volumes of seismic attributes. Techniques include simulated annealing, collocated cokriging simulation,5 a Markov-Bayes approach,6 and spectral separation. The term "3D volume" of seismic, as used here, is distinguished from the term "3D seismic data." (A geophysicist speaks of 3D seismic data when it is acquired over the surface in areal swaths or patches for the purpose of imaging a 3D volume of the earth. Two-dimensional (2D) seismic is acquired along a line on the surface for the purpose of imaging a 2D cross section of the earth.) The 3D volume distinction is made based on the vertical resolution of the seismic relative to the reservoir. To be considered a 3D volume here, we require both lateral and vertical resolution within the reservoir. Seismic data often do not have the vertical resolution within the reservoir zone to warrant using a 3D volume of seismic data. The low and high limits of vertical resolution leave out the case of intermediate vertical resolution as depicted by the middle curve of Fig. 1. Because typical seismic resolution often ranges from 10 to 40 m and many reservoirs have thicknesses one to two times this range, many reservoirs fall into this middle ground. These reservoirs have higher vertical seismic resolution than a single map captures, but not enough to warrant using a 3D volume of seismic. It is this important middle ground that is addressed by a new technique presented in this paper.


2021 ◽  
Vol 9 ◽  
Author(s):  
Xuri Huang ◽  
Yungui Xu ◽  
Haoyuan Li ◽  
Zhiwen Zhang ◽  
Wei Xu

The Moxi area in the Sichuan Basin is dominated by carbonate gas reservoirs, where gas productivity is most strongly influenced by their pore types. Fractured caves are the most favorable pore structure type for reservoir productivity, followed by cave and vuggy pore structures, and interparticle pore structures are the least productive. The spatial discrimination of these three pore types is important for cost-effective development. However, the pore type identification remains difficult owing to poor-quality azimuthal seismic data. A practical approach is to understand the seismic signatures of the different pore types and the related productivities from the post-stack data. In this work, seismic forward modeling is conducted using a constructed theoretical model of Hudson's anisotropic representation, and the pre-stack and post-stack anisotropy signatures are analyzed for different pore types. The rock model is further calibrated using log data, and forward modeling is performed based on the calibrated logs. We propose a new attribute of these signatures: namely, the ratio of the absolute peak and the absolute trough immediately below the peak, which is applied to the three-dimensional seismic data in the Moxi area. In contrast with other conventional attributes, this ratio effectively correlates with pore type, which allows the pore types in wells to be differentiated. This attribute also reasonably correlates with open flow gas rate of the well. The results demonstrate that this attribute from the post-stack data is a promising indicator of pore type and gas productivity and can also be readily mapped spatially for the selection of new drilling locations.


2016 ◽  
Vol 56 (2) ◽  
pp. 601
Author(s):  
Nabeel Yassi

The desire to conduct onshore seismic surveys without cables has been an elusive dream since the dawn of seismic exploration. Since the late 1970s, seismic surveys were conducted with cabled multi-channels acquisition systems. As the number of channels steadily grew, a fundamental restriction appeared with hundreds of kilometres of line cables dragged on the ground. Seismic surveys within rugged terrain—across rivers, steep cliffs, urban areas, and culturally and environmentally sensitive zones—were both challenging and expansive exercises. Modern technology has made different cable-free solutions practical. High-resolution analogue to digital converters are now affordable, as are GPS radios for timing and location. Microprocessors and memory are readily available for autonomous recording systems, along with a battery the size and weight of a field nodal now promising to power an acquisition unit for as long as required for normal seismic crew operations. Many successful 2D and 3D seismic data acquisition using cable-free autonomous nodal systems were attempted in the past few years; however, there remain a number of concerns with these systems. The first concern queries whether the units are working according to manufacturer specifications during the data acquisition window. The second is the limited or no real-time data quality control that inspires sceptics to use the term blind acquisition to nodal operations. The third is the traditional question of geophone array versus point receiver acquisition. Although a string of the geophone can be connected to autonomous nodes, the preference is to deploy a single or internal geophone with the nodes to maintain the proposed flexibility of cable-free recording systems. This case study elaborates on the benefits of the cable-free seismic surveys, with specific examples of 2D and 3D exploration programs conducted in Australia in the past few years. Optimisation of field crew size, field crew resources, cost implications, and footprint to the environment, wildlife and domestic livestock will be discussed. In addition, the study focuses on the data quality/data assurance and the processes implanted during data acquisition to maintain equivalent industry standards to cable recording. Emphases will also include data analysis and test results of the geophone array versus the cable-free point receiver recording.


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