The Free High School Science Texts: A Textbook For High School Students Studying Chemistry
The Free High School Science Texts: A Textbook For High School Students Studying Chemistry
The Free High School Science Texts: A Textbook For High School Students Studying Chemistry
FHSST Authors1
1
See http://savannah.nongnu.org/projects/fhsst
Copyright ° c 2003 “Free High School Science Texts”
Permission is granted to copy, distribute and/or modify this docu-
ment under the terms of the GNU Free Documentation License, Ver-
sion 1.2 or any later version published by the Free Software Foun-
dation; with no Invariant Sections, no Front-Cover Texts, and no
Back-Cover Texts. A copy of the license is included in the section
entitled “GNU Free Documentation License”.
i
Contents
ii
5.3 Nuclear force . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 21
5.4 Binding energy and nuclear masses . . . . . . . . . . . . . . . . . 22
5.4.1 Binding energy . . . . . . . . . . . . . . . . . . . . . . . . 22
5.4.2 Nuclear energy units . . . . . . . . . . . . . . . . . . . . . 22
5.4.3 Mass defect . . . . . . . . . . . . . . . . . . . . . . . . . . 23
5.4.4 Nuclear masses . . . . . . . . . . . . . . . . . . . . . . . . 24
5.5 Radioactivity . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 26
5.5.1 Discovery of radioactivity . . . . . . . . . . . . . . . . . . 26
5.5.2 Nuclear α, β, and γ rays . . . . . . . . . . . . . . . . . . . 26
5.5.3 Danger of the ionizing radiation . . . . . . . . . . . . . . 27
5.5.4 Decay law . . . . . . . . . . . . . . . . . . . . . . . . . . . 28
5.5.5 Radioactive dating . . . . . . . . . . . . . . . . . . . . . . 29
5.6 Nuclear reactions . . . . . . . . . . . . . . . . . . . . . . . . . . . 30
5.7 Detectors . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 31
5.7.1 Geiger counter . . . . . . . . . . . . . . . . . . . . . . . . 31
5.7.2 Fluorescent screen . . . . . . . . . . . . . . . . . . . . . . 32
5.7.3 Photo-emulsion . . . . . . . . . . . . . . . . . . . . . . . . 32
5.7.4 Wilson’s chamber . . . . . . . . . . . . . . . . . . . . . . 32
5.7.5 Bubble chamber . . . . . . . . . . . . . . . . . . . . . . . 32
5.7.6 Spark chamber . . . . . . . . . . . . . . . . . . . . . . . . 33
5.8 Nuclear energy . . . . . . . . . . . . . . . . . . . . . . . . . . . . 33
5.8.1 Nuclear reactors . . . . . . . . . . . . . . . . . . . . . . . 34
5.8.2 Fusion energy . . . . . . . . . . . . . . . . . . . . . . . . . 37
5.9 Elementary particles . . . . . . . . . . . . . . . . . . . . . . . . . 42
5.9.1 β decay . . . . . . . . . . . . . . . . . . . . . . . . . . . . 42
5.9.2 Particle physics . . . . . . . . . . . . . . . . . . . . . . . . 43
5.9.3 Quarks and leptons . . . . . . . . . . . . . . . . . . . . . . 46
5.9.4 Forces of nature . . . . . . . . . . . . . . . . . . . . . . . 46
5.10 Origin of the universe . . . . . . . . . . . . . . . . . . . . . . . . 47
iii
7.3 Hydrocarbons . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 64
7.3.1 Alkanes . . . . . . . . . . . . . . . . . . . . . . . . . . . . 64
7.3.2 Alkenes . . . . . . . . . . . . . . . . . . . . . . . . . . . . 64
7.3.3 Alkynes . . . . . . . . . . . . . . . . . . . . . . . . . . . . 65
7.4 Alcohols, carboxylic acids and esters . . . . . . . . . . . . . . . . 65
7.4.1 Alcohols . . . . . . . . . . . . . . . . . . . . . . . . . . . . 65
7.4.2 Oxidation reactions . . . . . . . . . . . . . . . . . . . . . 66
7.4.3 Carboxylic acids . . . . . . . . . . . . . . . . . . . . . . . 66
7.4.4 Esters . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 66
II CHEMICAL CHANGE 69
9 Physical and Chemical Change (Grade 10) 70
iv
15.3.1 The ion-electron method . . . . . . . . . . . . . . . . . . . 91
15.4 The Cu-Zn electrochemical cell . . . . . . . . . . . . . . . . . . . 93
15.4.1 Direct electron transfer . . . . . . . . . . . . . . . . . . . 94
15.5 Standard electrode potentials . . . . . . . . . . . . . . . . . . . . 95
15.5.1 The cell potential . . . . . . . . . . . . . . . . . . . . . . . 95
15.5.2 The standard hydrogen electrode . . . . . . . . . . . . . . 96
15.6 Examples of electrochemical cells . . . . . . . . . . . . . . . . . . 96
15.6.1 The dry cell (Leclanche cell) . . . . . . . . . . . . . . . . 97
15.6.2 The alkaline dry cell . . . . . . . . . . . . . . . . . . . . . 97
15.6.3 The lead-acid accumulator . . . . . . . . . . . . . . . . . . 98
15.6.4 The fuel cell . . . . . . . . . . . . . . . . . . . . . . . . . . 98
15.7 Electrolysis . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 99
15.7.1 The Chlor-alkali Process . . . . . . . . . . . . . . . . . . . 99
15.7.2 The Downs process . . . . . . . . . . . . . . . . . . . . . . 99
15.8 Electrolysis of water . . . . . . . . . . . . . . . . . . . . . . . . . 99
15.9 Extraction of Aluminium . . . . . . . . . . . . . . . . . . . . . . 100
15.10Electro-refining of copper . . . . . . . . . . . . . . . . . . . . . . 101
15.11Electroplating . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 101
15.12Faraday’s laws of electrolysis . . . . . . . . . . . . . . . . . . . . 102
v
19 The Lithosphere: Exploiting the Earth’s crust (Grade 11) 117
vi
Part I
MATTER AND
MATERIALS
1
Chapter 1
Classification of Materials
(Grade 10)
• Mixtures
– Heterogeneous mixtures
– Homogeneous mixtures
2
Chapter 2
3
Chapter 3
Atoms are the building blocks of matter. They are the basis of all the struc-
tures and organisms in the universe. The planets, the sun, grass and trees, the
air we breathe, and people are all made up of different combinations of atoms.
The idea of atoms was invented by two Greek philosophers, Democritus and
Leucippus in the fifth century BC. The Greek word ατ oµoν (atom) means indi-
visible beacause they believed that atoms could not be broken down into smaller
pieces. However, the discovery of the fact that an atom is actually a complex
system and can be broken into pieces was the most important step and pivoting
point in the development of modern physics!
4
3.1.2 The Bohr Model
Some years later, it was discovered (by Rutherford in 1911) that atoms have a
positively charged nucleus (centre) with the negative electrons moving around
it. This proved that the plum pudding model was wrong and scientists then
pictured the atom like a mini solar system where the electrons orbit the nucleus
like planets orbiting around the sun. There were some problems with this model.
For example it could not explain the very interesting observation that atoms
only emit light at certain wavelengths or frequencies. Niels Bohr solved this
problem by proposing that the electrons could only orbit the nucleus in certain
special orbits with particular energies i.e. energy levels. The exact energies
of the orbitals depends on the type of atom, for example Helium has different
energy levels to Carbon. If an electron jumps down from a higher energy level
(or orbital) to a lower energy level, then light is emitted from the atom. The
energy of the light emitted is the same as the gap in the energy between the
two energy levels!
InIn teresti ing Light has the properties of both a particle and a wave! Einstein dis-
teresti ing
Fact:
Fact: covered that light comes in energy packets which are called photons.
When an electron in an atom changes energy levels, a photon of light
is emitted. This photon has the same energy as the difference between
the two electron energy levels!
Once an electron is in its lowest orbit, it cannot go down any further. Bohr
calculated the size of the Hydrogen atom (nucleus plus one electron) by calcu-
lating the distance between the nucleus and the electron in its lowest energy
level. This distance is known as the Bohr radius.
5
Aside: Probabilities describe the chance of something happening or
of being true. They usually have a value between 0 and 1 or 0%
and 100% where 0 means no chance at all and 1 means definite.
Probabilities are used when the state of something is uncertain. For
example, probabilities are often used when predicting the weather
e.g. there is a 50% (=0.5) chance of rain.
In the quantum mechanical model of the atom, you can imagine the electron
as a wave. Then the electron does not move along a specific path in its orbit, but
rather along all imaginable paths with different probabilities. If we were trying
to catch this electron, after many attempts we would discover that the electron
can be found anywere around the nucleus, even very close to and very far from
it. However, the probabilities of finding the electron at different distances from
the nucleus would be different.
If you picture the electron as a cloud around the nucleus then in some places
this cloud will be denser (thicker) while in other places it will be less dense
(thinner). The density of the cloud corresponds to the probability of finding
the electron in a particular place! Quantum mechanics is very useful because
one can use it to calculate the probability of finding the electron at any point
in space around the nucleus. The results of such a calculation for the hydrogen
atom are shown in Fig. 5.1. On the y-axis is the probability of finding the
electron and on the x-axis is the distance away from the center of the nucleus.
You can see that the most likely distance (highest point on the curve) is the
same as the Bohr radius!
P (r)
r
RBohr
Figure 3.1: Probability density P (r) for finding the electron at a distance r from
the proton in the ground state of the hydrogen atom.
Its mass is very tiny compared to the total mass of the atom. This is because
most of the mass of the atom is due to the nucleus! In the silicon atoms that
are the main component of the rocks around us, all 14 electrons make up only
0.027% of the mass. When holding a heavy rock in your hand, you actually feel
the collective weight of all the nuclei that are inside it!
6
3.2 Atomic Structure
So far, we have discussed that atoms are made up of a nucleus surrounded by
one or more electrons.
The Proton
In the early 1920’s Rutherford and other physicists performed many experi-
ments, changing one element into another by striking them with energetic he-
lium nuclei. They noticed that every time hydrogen nuclei were emitted in the
process. It was apparent that the hydrogen nucleus played a fundamental role
in nuclear structure and was a constituent part of all other nuclei. By the late
1920’s physicists were regularly referring to the hydrogen nucleus as the proton.
The Neutron
However, only having protons in the nucleus leads to some problems. For exam-
ple, if there were only positively charged protons in the nucleus, then it should
break into bits due to the repulsive electrostatic forces between the protons! An-
other problem was that the protons in the nucleus were not enough to account
for the measured mass of different atoms! For example, if protons were the
only particles in the nucleus, then a helium nucleus (atomic number 2) would
have two protons and therefore only twice the mass of hydrogen. However, it
is actually four times heavier than hydrogen. This suggests that there must be
something else inside the nucleus in addition to protons.
Therefore Rutherford predicted (in 1920) that another kind of particle must
be present in the nucleus along with the proton to help hold the nucleus together
and add to its mass. To ensure the atom remains electrically neutral this particle
had to be neutral itself. In 1932 James Chadwick discovered the neutron and
measured its mass, which turned out to be almost the same, but slightly larger
than that of the proton.
7
3.3 Isotopes
The chemical properties of an element are determined by the charge of its atomic
nucleus, i.e. by the number of protons. This number is called the atomic num-
ber and is denoted by the letter Z . The mass of an atom depends on how many
nucleons its nucleus contains. The number of nucleons, i.e. the total number of
protons plus neutrons, is called the atomic mass number and is denoted by
the letter A.
Standard notation shows the chemical symbol, the mass number and the
atomic number as follows:
number of nucleons
A
ZX
chemical symbol
number of protons
For example, the iron nucleus which has 26 protons and 30 neutrons, is denoted
as
56
26 Fe ,
where the total nuclear charge is Z = 26 and the mass number A = 56. The
number of neutrons is simply the difference N = A − Z. Since the type of
element is linked directly to the number of protons in the nucleus (Z), the lower
index is sometimes omitted and you may see notation like 56 Fe.
InIn teresti ing In Greek, “same place” reads as ὶσoς τ òπoς (isos topos). This is why
teresti ing
Fact:
Fact: atoms which have the same number of protons, but different numbers
of neutrons, are called isotopes!
The different isotopes of a given element have the same atomic number Z
but different mass numbers A since they have different numbers of neutrons N .
The chemical properties of the different isotopes of an element are identical, but
they will often have great differences in nuclear stability. For stable isotopes of
the light elements, the number of neutrons will be almost equal to the number
8
of protons, but for heavier elements, the number of neutrons is always greater
than Z and the neutron excess tends to grow when Z increases. This is because
neutrons are kind of glue that keeps repelling protons together. The greater the
repelling charge, the more glue you need.
interesting fact: the neutrons and protons are not elementary particles. They
are actually made up of even smaller particles called quarks. Both protons and
neutrons are made of three quarks each. There are all sorts of other particles
composed of quarks which nuclear physicists study using huge detectors - you
can find out more about this by reading the essay in Chapter ??.
9
Chapter 4
Atomic combinations,
Molecular structure,
Chemical Bonding (Grade
11)
• A chemical bond as the net electrostatic force between two atoms sharing
electrons.
• Multiple bonds
• Molecular shape as predicted using the Valence Shell Electron Pair Re-
pulsion (VSEPR) theory
10
4.2.1 Van Der Waals forces
There are three types of intermolecular forces which are classified as Van Der
Waals forces. These are iondipole, dipole-dipole and London forces.
Dipole-dipole forces: These forces occur when polar molecules arrange them-
selves such that their oppositely charged ends can attract each other, e.g.
H2 O and NaOH.
London forces: These occur between nonpolar molecules. The molecules are
neutral but when two approach one another, the protons and electrons
from different particles attract one another slightly. The electron clouds
of these molecules then become distorted and result in a weak dipole. This
is the weakest of the Van Der Waals forces and so all such substances have
low melting points, e.g. CH4 and CCl4 .
11
This will result in the formation of a polar covalent bond in which one atom
will have a slightly negative charge) and the other a slightly positive charge, e.g.
H+ Cl− .
Shape of molecules
Molecules with covalent bonds can exist in several shapes which depends on the
number of atoms and whether there are lone pairs on these atoms.
O
Polar molecules
Some molecules with polar covalent bonds are polar molecules, e.g. H 2 O.
However, although CO2 has two polar covalent bonds (between C+ atom and
the two O− atoms), the molecule itself is not polar. The reason is that CO2
is a linear molecule and is therefore symmetrical. So there is no difference in
charge between the two ends of the molecule. So we can say that polar molecules
must contain polar covalent bonds and they must be asymmetrical. The greater
degree of polarity increases with the difference in electronegativity between two
atoms.
12
the ions and also their charge. So in fact NaCl does not contain one Na and one
Cl ion, but rather a lot of these two ions arranged in a crystal lattice where the
ratio of Na to Cl ions is 1:1. The crystal lattice is shown in the figure below.
$%
&' ()
*+
! "#
• Lattice energy: this is the energy released when K+ and Br− ions arrange
in a crystal lattice.
The difference between the energy required and the energy released during the
bonding process is called the bonding energy.
13
Charge associated with ions and polyatomic ions
The charge on an ion is related to its group number in the periodic table. There
are two general rules:
• Cations carry a maximum charge equal to their group number (since the
group number equals the number of valence electrons, this is the maximum
number of electrons that the atoms can donate)
• Anions carry a maximum charge equal to (8their group number) (since the
group number equals the number of valence electrons and the maximum
number of electrons that an atom can be surrounded by is 8, the difference
is the maximum number of electrons that the atom can receive)
e.g.
Group I Li+
Group II Ba2+
Group V N3−
Group VI O2−
The overall charge of an ionic compound will always be zero and so the
negative and positive charge must be of equal magnitude. It is therefore possible
to determine the chemical formula of a compound knowing the charge on the
individual ions.
e.g.
PbO Pb2+ (Group II). . . 2+ charge and O2− (Group VI). . . 2- charge one Pb2+
ion and one O2− ion are needed to make up a neutral PbO molecule
CaCl2 Ca2+ (Group II). . . 2+ charge and Cl− (Group VII). . . 1- charge one
Ca2+ ion and two Cl− ions are needed to make up a neutral CaCl2 molecule
K2 O K+ (Group I). . . 1+ charge and O2− (Group VI). . . 2- charge two K+ ions
and one O2− ions are needed to make up a neutral K2 O molecule
Na3 N Na+ (Group I). . . 1+ charge and N3− (Group V). . . 3- charge three Na+
ions and one N3− ions are needed to make up a neutral Na3 N molecule
Al2 S3 Al3+ (Group III). . . 3+ charge and S2− (Group VI). . . 2- charge two Al3+
ions and three S3− ions are needed to make up a neutral Al2 S3 molecule
Some groups of atoms behave as a unit and therefore we need to learn the
charge associated with these ion groups.
More examples of ionic formulae:
BaCO3 , K2 Cr2 O7 , (NH4 )2 SO4 , Ca3 (PO4 )2
14
Negative Ions Positive Ions
ClO3− Chlorate CO3 2− Carbonate NH4+ Ammonium
CN− Cyanide CrO4 2− Chromate H 3 O+ Oxonium
CH3 COO− Ethanoate (acetate) Cr2 O7 2− Dichromate
HCO3− Hydrogen carbonate MnO4 2− Manganate
HSO4− Hydrogen sulphate SO4 2− Sulphate
OH− Hydroxide SO3 2− Sulphite
IO3− Iodate SiO3 2− Silicate
NO3− Nitrate S2 O3 2− Thiosulphate
NO2− Nitrite
MnO4 − Permanganate
CNS− Thiocyanate
• Good electrical and thermal conductors: electrons are loosely bound and
are able to move from areas of high potential/temperature to low poten-
tial/temperature
• Malleable and ductile: bonds are not spatially directed so atoms can easily
slide over one another, making metals easy to shape and mould or draw
into threads
• High density: atoms are packed closely together and therefore metals are
dense Metallic luster: loosely bound electrons are able to absorb light
energy and reflect light at all frequencies, giving metals a highly polished
appearance
The figure below shows the arrangement of the atomic kernel and the sea of
delocalised electrons in a crystal lattice.
15
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PQ RS
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xx xx
x
e.g. H• + x Brx → H•x Brxx
xx xx
Only the electrons involved in the bond between H and Br are shown with
Couper notation but these are shown with a line (one for each covalent bond)
instead of dots and crosses.
xx
x
e.g. H• + x Brx → H−Br
xx
16
Chapter 5
• radioactivity
• ionising radiation
There are more than 1020 stars in the universe. Currently, scientists know
over 12 million chemical compounds i.e. 12 million different molecules. All this
variety of molecules is made of only a hundred of different atoms. For those who
believe in beauty and harmony of nature, this number is still too large. They
would expect to have just few different things from which all other substances
are made. In this chapter, we are going to find out what these elementary things
are.
17
tried to visualize an atom as a microscopic analog of our solar system where
planets move around the sun. This naive planetary model assumes that in the
world of very small objects the Newton laws of classical mechanics are valid.
This, however, is not the case.
P (r)
r
RBohr
Figure 5.1: Probability density P (r) for finding the electron at a distance r from
the proton in the ground state of hydrogen atom.
For example, an electron in the atom is not moving along a certain trajectory
but rather along all imaginable trajectories with different probabilities. If we
were trying to catch this electron, after many such attempts we would discover
that the electron can be found anywere around the nucleus, even very close to
and very far from it. However, the probabilities of finding the electron at differ-
ent distances from the nucleus would be different. What is amazing: the most
probable distance corresponds to the classical trajectory!
You can visualize the electron inside an atom as moving around the nucleus
chaotically and extremely fast so that for our “mental eyes” it forms a cloud.
In some places this cloud is more dense while in other places more thin. The
density of the cloud corresponds to the probability of finding the electron in a
particular place. Space distribution of this density (probability) is what we can
calculate using quantum mechanics. Results of such calculation for hydrogen
atom are shown in Fig. 5.1. As was mentioned above, the most probable dis-
tance (maximum of the curve) coincides with the Bohr radius.
Quantum mechanical equation for any bound system (like an atom) can have
solutions only at a discrete set of energies E1 , E2 , E3 . . . , etc. There are simply
no solutions for the energies E in between these values, such as, for instance,
E1 < E < E2 . This is why a bound system of microscopic particles cannot have
an arbitrary energy and can only be in one of the quantum states. Each of such
18
states has certain energy and certain space configuration, i.e. distribution of
the probability.
A bound quantum system can make transitions from one quantum state to
another either spontaneously or as a result of interaction with other systems.
The energy conservation law is one of the most fundamental and is valid in
quantum world as well as in classical world. This means that any transition
between the states with energies Ei and Ej is accompanied with either emission
or absorption of the energy ∆E = |Ei − Ej |. This is how an atom emits light.
5.2 Nucleus
Is the nucleus a solid body? Is it an elementary building block of nature? No
and no! Although it is very small, a nucleus consists of something even smaller.
5.2.1 Proton
The only way to do experiments with such small objects as atoms and nuclei,
is to collide them with each other and watch what happens. Perhaps you think
that this is a barbaric way, like colliding a “Mercedes” and “Toyota” in order to
learn what is under their bonnets. But with microscopic particles nothing else
can be done.
In the early 1920’s Rutherford and other physicists made many experiments,
changing one element into another by striking them with energetic helium nuclei.
They noticed that all the time hydrogen nuclei were emitted in the process. It
was apparent that the hydrogen nucleus played a fundamental role in nuclear
structure and was a constituent part of all other nuclei. By the late 1920’s
physicists were regularly referring to hydrogen nucleus as proton. The term
“proton” seems to have been coined by Rutherford, and first appears in print
in 1920.
5.2.2 Neutron
Thus it was established that atomic nuclei consist of protons. Number of protons
in a nucleus is such that makes up its positive charge. This number, therefore,
coincides with the atomic number of the element in the Mendeleev’s table.
This sounded nice and logical, but serious questions remained. Indeed, how
can positively charged protons stay together in a nucleus? Repelling each other
by electric force, they should fly away in different directions. Who keeps them
19
together?
Furthermore, the proton mass is not enough to account for the nuclear
masses. For example, if the protons were the only particles in the nucleus,
then a helium nucleus (atomic number 2) would have two protons and therefore
only twice the mass of hydrogen. However, it actually is four times heavier than
hydrogen. This suggests that it must be something else inside nuclei in addition
to protons.
These additional particles that kind of “glue” the protons and make up the
nuclear mass, apparently, are electrically neutral. They were therefore called
neutrons. Rutherford predicted the existence of the neutron in 1920. Twelve
years later, in 1932, his assistant James Chadwick found it and measured its
mass, which turned out to be almost the same but slightly larger than that of
the proton.
5.2.3 Isotopes
Thus, in the early 1930’s it was finally proved that atomic nucleus consists
of two types of particles, the protons and neutrons. The protons are positively
charged while the neutrons are electrically neutral. The proton charge is exactly
equal but opposite to that of an electron. The masses of proton and neutron
are almost the same, approximately 1836 and 1839 electron masses, respectively.
Apart from the electric charge, the proton and neutron have almost the same
properties. This is why there is a common name for them: nucleon. Both the
proton and neutron are nucleons, like the man and woman are both humans. In
the literature, the proton is denoted by letter p and the neutron by n. Some-
times, when the difference between them is unimportant, it is used the letter N
meaning nucleon (in the same sense as using the word person instead of man or
woman).
Standard nuclear notation shows the chemical symbol, the mass number and
the atomic number of the isotope.
number of nucleons
A
ZX
chemical symbol
number of protons
20
For example, the iron nucleus (26-th place in the Mendeleev’s periodic table of
the elements) with 26 protons and 30 neutrons is denoted as
56
26 Fe ,
where the total nuclear charge is Z = 26 and the mass number A = 56. The
number of neutrons is simply the difference N = A − Z (here it is used the same
letter N as for nucleon, but this should not cause any confusion). Chemical
symbol is inseparably linked with Z. This is why the lower index is sometimes
omitted and you may encounter the simplified notation like 56 Fe.
The different isotopes of a given element have the same atomic number Z
but different mass numbers A since they have different numbers of neutrons N .
The chemical properties of the different isotopes of an element are identical, but
they will often have great differences in nuclear stability. For stable isotopes of
the light elements, the number of neutrons will be almost equal to the number
of protons, but for heavier elements, the number of neutrons is always greater
than Z and the neutron excess tends to grow when Z increases. This is because
neutrons are kind of glue that keeps repelling protons together. The greater the
repelling charge, the more glue you need.
Trying to answer this question at the beginning of the XX-th century, physi-
cists found that all they knew before, was inadequate. Actually, by that time
they knew only gravitational and electromagnetic forces. It was clear that the
forces holding nucleons were not electromagnetic. Indeed, the protons, being
positively charged, repel each other and all nuclei would decay in a split of a
second if some other forces would not hold them together. On the other hand,
it was also clear that they were not gravitationl, which would be too weak for
the task.
The simple conclusion was that nucleons are able to attract each other by
yet unknown nuclear forces, which are stronger than the electromagnetic ones.
Further studies showed that this hypothesis was correct.
21
times stronger than the electromagnetic repulsion. Thirdly, the nuclear force
is of a very short range. If the nucleons move away from each other for more
than few fermi (1 fm=10−13 cm) the nuclear attraction practically disappears.
Therefore the nuclear force looks like a “strong man with very short hands”.
and think again. In the units of MeV, most of the energies in nuclear world can
be expressed by values with only few digits before decimal point and without
ten to the power of something. For example, the binding energy of proton and
neutron (which is the simplest nuclear system and is called deuteron) is
The simplicity of the numbers is not the only advantage of using the unit MeV.
Another, more important advantage, comes from the fact that most of experi-
ments in nuclear physics are collision experiments, where particles are acceler-
ated by electric field and collide with other particles. From the above value of
Bpn , for instance, we immediately know that in order to break up deuterons,
we need to bombard them with a flux of electrons accelerated through a voltage
not less than 2.225 million Volts. No calculation is needed! On the other hand,
if we know that a charged particle (with a unit charge) passes through a voltage,
say, 5 million Volts, we can, without any calculation, say that it acqures the
energy of 5 MeV. It is very convenient. Isn’t it?
22
5.4.3 Mass defect
Comparing the masses of atomic nuclei with the masses of the nucleons that
constitute them, we encounter a surprising fact: Total mass of the nucleons is
greater than mass of the nucleus! For example, for the deuteron we have
md < m p + m n ,
where md , mp , and mn are the masses of deuteron, proton, and neutron, re-
spectively. The difference is rather small,
but on the nuclear scale is noticeable since the mass of proton, for example,
mp = 1672.623 × 10−30 kg
is also very small. This phenomenon was called “mass defect”. Where the mass
disappears to, when nucleons are bound?
To answer this question, we notice that the energy of a bound state is lower
than the energy of free particles. Indeed, to liberate them from a bound com-
plex, we have to give them some energy. Thinking in the opposite direction, we
conclude that, when forming a bound state, the particles have to get rid of the
energy excess, which is exactly equal to the binding energy. This is observed
experimentally: When a proton captures a neutron to form a deuteron, the ex-
cess energy of 2.225 MeV is emitted via electromagnetic radiation.
A logical conclusion from the above comes by itself: When proton and neu-
tron are bounding, some part of their mass disappears together with the energy
that is carried away by the radiation. And in the opposite process, when we
break up the deutron, we give it the energy, some part of which makes up the
lost mass.
Albert Einstein came to the idea of the equivalence between the mass and
energy long before any experimental evidences were found. In his theory of
relativity, he showed that total energy E of a moving body with mass m is
mc2
E=r , (5.1)
v2
1− 2
c
where v is its velocity and c the speed of light. Applying this equation to a not
moving body (v = 0), we conclude that it possesses the rest energy
E0 = mc2 (5.2)
simply because has mass. As you will see, this very formula is the basis for
making nuclear bombs and nuclear power stations!
All the development of physics and chemistry, preceding the theory of rela-
tivity, was based on the assumption that the mass and energy of a closed system
23
are conserving in all possible processes and they are conserved separately. In
reality, it turned out that the conserving quantity is the mass-energy,
i.e. the sum of kinetic energy, potential energy, the energy of radiation, and the
mass of the system.
In chemical reactions the fraction of the mass that transformes into other
forms of energy (and vise versa), is so small that it is not detectable even in
most precise measurements. In nuclear processes, however, the energy release
is very often millions times higher and therefore is observable.
You should not think that mutual transformations of mass and energy are the
features of only nuclear and atomic processes. If you break up a piece of rubber
or chewing gum, for example, in two parts, then the sum of masses of these parts
will be slightly larger than the mass of the whole piece. Of course we will not be
able to detect this “mass defect” with our scales. But we can calculate it, using
the Einstein formula (5.2). For this, we would need to measure somehow the
mechanical work A used to break up the whole piece (i.e. the amount of energy
supplied to it). This can be done by measuring the force and displacement in
the breaking process. Then, according to Eq. (5.2), the mass defect is
A
∆m = .
c2
To estimate possible effect, let us assume that we need to stretch a piece of
rubber in 10 cm before it breaks, and the average force needed for this is 10 N
(approximately 1 kg). Then
A = 10 N × 0.1 m = 1 J ,
and hence
1J
∆m = ≈ 1.1 × 10−17 kg.
(299792458 m/s)2
This is very small value for measuring with a scale, but huge as compared to
typical masses of atoms and nuclei.
This is done with the help of the devices called mass spectrometers. In
them, a flux of identical nuclei, accelerated to a certain energy, is directed to a
screen where it makes a visible mark. Before striking the screen, this flux passes
through magnetic field, which is perpendicular to velocity of the nuclei. As a
result, the flux is deflected to certain angle. The greater the mass, the smaller
is the angle (because of inertia). Thus, measuring the displacement of the mark
from the center of the screen, we can find the deflection angle and then calculate
the mass.
24
particle number of protons number of neutrons mass (MeV)
e 0 0 0.511
p 1 0 938.272
n 0 1 939.566
2
1H 1 1 1875.613
3
1H 1 2 2808.920
3
2 He 2 1 2808.391
4
2 He 2 2 3727.378
7
3 Li 3 4 6533.832
9
4 Be 4 5 8392.748
12
6C 6 6 11174.860
16
8O 8 6 14895.077
238
92 U 92 146 221695.831
There are several advantages of using the units of MeV to measure particle
masses. First of all, like with nuclear energies, we avoid handling very small
numbers that involve ten to the power of something. For example, if we were
measuring masses in kg, the electron mass would be me = 9.1093897 × 10−31 kg.
When masses are given in the equivalent energy units, it is very easy to calculate
the mass defect. Indeed, adding the masses of proton and neutron, given in the
second and third rows of Table 5.1, and subtracting the mass of 21 H, we obtain
the binding energy 2.225 MeV of the deuteron without further ado. One more
advantage comes from particle physics. In collisions of very fast moving particles
new particles (like electrons) can be created from vacuum, i.e. kinetic energy
directly transformes into mass. If the mass is expressed in the energy units,
we know how much energy is needed to create this or that particle, without
calculations.
25
5.5 Radioactivity
As was said before, the nucleus experiences the intense struggle between the
electric repulsion of protons and nuclear attraction of the nucleons to each
other. It therefore should not be surprising that there are many nuclei that
are unstable. They can spontaneously (i.e. without an external push) break in
pieces. When the fragments reach the distances where the short range nuclear
attraction disappears, they fiercely push each other away by the electric forces.
Thus accelerated, they move in different directions like small bullets making
destruction on their way. This is an example of nuclear radioactivity but there
are several other varieties of radioactive decay.
On the 26th and 27th of February 1896 the skies over Paris were overcast and
the uranium crystals Becquerel intended to expose to the sun were returned to a
drawer and put over the photographic plates. On the first of March, Becquerel
developed the plates and to his surprise, found that the images on them were
clear and strong. Therefore the uranium emitted radiation without an external
source of energy such as the sun. This was the first observation of the nuclear
radioactivity.
Later, Becquerel demonstrated that the uranium radiation was similar to the
X-rays but, unlike them, could be deflected by a magnetic field and therefore
must consist of charged particles. For his discovery of radioactivity, Becquerel
was awarded the 1903 Nobel Prize for physics.
Without the magnetic field, the image on the plate was in the form of one
single dot. When the device was immersed into a perpendicular magnetic field,
26
the flux of particles was split in three fluxes, which was reflected by three dots
on the photographic plate.
One of the three fluxes was stright, while two others were deflected in op-
posite directions. This showed that the initial flux contained positive, negative,
and neutral particles. They were named respectively the α, β, and γ particles.
The α-rays were found to be the 4 He nuclei, two protons and two neutrons
bound together. they have weak penetrating ability, a few centimeters of air
or a few sheets of paper can effectively block them. The β-rays proved to be
electrons. They have a greater penetrating power than the α-particles and can
penetrate 3 mm of aluminum. The γ-rays are not deflected because they are high
energy photons. They have the same nature as the radio waves, visible light,
and the X-rays, but have much shorter wavelength and therefore are much more
energetic. Among the three, the γ-rays have the greatest penetrating power
being able to pass through several centimeters of lead and still be detected on
the other side.
Apart from ionizing the atoms, this radiation destroys molecules. For hu-
mans and all other organisms, this is the most dangerous feature of the radiation.
Imagine thousands of tiny tiny bullets passing through your body and making
destruction on their way. The nuclear radiation harms the cells of the body and
thus can make people sick or even kill them. Illness can strike people years after
their exposure to nuclear radiation. For example, because the ionizing particles
can randomly modify the DNA (long organic molecules that store all the infor-
mation on how a particular cell should function in the body). As a result, some
cells with wrong DNA may become cancer cells.
There are established norms and acceptable limits for the radiation that are
considered safe for human body. If you are going to work in contact with ra-
dioactive materials or near them, make sure that the exposure dose is monitored
and the limits are adhered to.
You should understand that no costume can protect you from γ-rays! Only a
thick wall of concrete or metal can stop them. The special costumes and masks
that people wear when handling radioactive materials, protect them not from
the rays but from contamination with that materials. Imagine if few specks of
radioactive dirt stain your everyday clothes or if you inhale radioactive atoms.
27
They will remain with you all the time and will shoot the “bullets” at you even
when you are sleeping.
In many cases, a very effective way of protecting yourself from the radiation
is to keep certain distance. Radiation from nuclear sources is distributed equally
in all directions. Therefore the number n of dangerous particles passing every
second through a unit area (say 1 cm2 ) is the total number N of particles emitted
during 1 second, divided by the surface of a sphere
N
n= ,
4πr2
where r is the distance at which we make the observation. From this simple
formula, it is seen that the radiation intensity falls down with incresing distance
quadratically. In other words, if you increase the distance by a factor of 2, your
exposure to the radiation will be decreased by a factor of 4.
Actually, we never deal with individual nuclei but rather with huge numbers
of identical nuclei. For such collections (ensembles) of quantum objects, the
probabilistic laws becomes statictical laws. Let us assume that in the above
example we had 1 million identical nuclei instead of only one. Then by this
morning only half of these nuclei would survive because the decay probability
for 24 hours was 50%. Among the remaining 500000 nuclei, 250000 will decay
by tomorrow morning, then after another 24 hours only 125000 will remain and
so on.
The number of unstable nuclei that are still “alive” continuously decreases
with time according to the curve shown in Fig. 5.2. If initially, at time t = 0,
their number is N0 , then after certain time interval T1/2 only half of these nuclei
will remain, namely, 21 N0 . Another one half of the remaining half will decay
during another such interval. So, after the time 2T1/2 , we will have only one
28
N (t)
N0
1
2 N0
1
4 N0
1
8 N0
Figure 5.2: The time T1/2 during which one half of the initial amount of unstable
particles decay, is called their half-life time.
quarter of the initial amount, and so on. The time interval T1/2 , during which
one half of unstable nuclei decay, is called their half-life time. It is specific for
each unstable nucleus and vary from a fraction of a second to thousands and
millions of years. Few examples of such lifetimes are given in Table 5.2
Cosmic ray protons blast nuclei in the upper atmosphere, producing neu-
trons which in turn bombard nitrogen, the major constituent of the atmosphere.
This neutron bombardment produces the radioactive isotope 146 C. The radioac-
tive carbon-14 combines with oxygen to form carbon dioxide and is incorporated
into the cycle of living things.
The isotope 146 C decays (see Table 5.2) inside living bodies but is replenished
from the air and food. Therefore, while an organism is alive, the concentration
of this isotope in the body remains constant. After death, the replenishment
from the breath and food stops, but the isotopes that are in the dead body
29
isotope T1/2 decay mode
214
84 Po 1.64 × 10−4 s α, γ
89
36 Kr 3.16 min β−, γ
222
86 Rn 3.83 days α, γ
90
38 Sr 28.5 years β−
226
88 Ra 1.6 × 103 years α, γ
14
6C 5.73 × 103 years β−
238
92 U 4.47 × 109 years α, γ
115
49 In 4.41 × 1014 years β−
In the world of nuclear particles, similar processes are possible. When nuclei
are close to each other, nucleons from one nucleus can “jump” into another one.
This happens because there are attractive and repulsive forces between the nu-
cleons. The complicated interplay of these forces may cause their regrouping.
As a result, the reagent particles are transformed into product particles. Such
processes are called nuclear reactions.
30
For example, when two isotopes 32 He collide, the six nucleons constituting
them, can rearrange in such a way that the isotope 42 He is formed and two
protons are liberated. Similarly to chemical reactions, this process is denoted
as
3 3 4
2 He + 2 He −→ 2 He + p + p + 12.86 MeV . (5.3)
The same as in chemical reactions, nuclear reactions can also be either exother-
mic (i.e. releasing energy) or endothermic (i.e. requiring an energy input). The
above reaction releases 12.86 MeV of energy. This is because the total mass on
the left hand side of Eq. (5.3) is in 12.86 MeV greater than the total mass of
the products on the right hand side (you can check this using Table 5.1).
Composing equations like (5.3), we should always check the superscripts and
subscripts of the nuclei in order to have the same number of nucleons and the
same charge on both sides of the equation. In the above example, we have six
nucleons and the charge +4 in both the initial and final states of the reaction.
To make the checking of nucleon number and charge conservation easier, some-
times the proton and neutron are denoted with superscripts and subscripts as
well, namely, 11 p and 10 n. In this case, all we need is to check that sum of super-
scripts and sum of subscripts are the same on both sides of the equation.
5.7 Detectors
How can we observe such tiny tiny things as protons and α-particles? There is
no microscope that would be able to discern them. From the very beginning of
the sub-atomic era, scientists have been working on the development of special
instruments that are called particle detectors. These devices enable us either
to register the mere fact that certain particle has passed through certain point
in space or to observe the trace of its path (the trajectory). Actually, this is
as good as watching the particle. Although the particle sizes are awfully small,
when passing through some substances, they leave behind visible traces of tens
of centimeters in length. By measuring the curvature of the trajectory of a
particle deflected in electric or magnetic field, a physicist can determine the
charge and mass of the particle and thus can identify it.
31
the cylinder and the wire. The electric pulse can be counted by a computer or
made to produce a “click” in a loudspeaker. The number of counts per second
tells us about intensity of the radiation.
5.7.3 Photo-emulsion
Another type of particle detector, dating back to Becquerel, is the nuclear pho-
tographic emulsion. Passage of charged particles is recorded in the emulsion in
the same way that ordinary black and white photographic film records a pic-
ture. The only difference is that nuclear photoemulsion is made rathe thick in
order to catch a significant part of the particle path. After the developing, a
permanent record of the charged particle trajectory is available.
The top and the side of the chamber is covered by glasses, and of a diameter
of several centimeters. At the bottom of the chamber, a piston is placed. The
air filled in the chamber is saturated with vapor of water. When pulling down
the piston quickly, the volume of the chamber would be expanded and the
temperature goes down, and then the air inside would be supersaturated with
the vapor. If a charged particle enters into such a supersaturated state to
form ions, the vapor of water would condense along the line of the ions, which
is the path of the charge. Thus we can observe the trace, and also take a
photograph. To make clear the trace, a light is sometimes illuminated from the
side. When placing the cloud chamber in a magnetic field, we can obtain various
informations about the charged particle by measuring the curvature of the trace
and other data. The bubble chamber and the spark chamber have taken place
of the cloud chamber which is nowadays used only for the educational purposes.
Wilson’s cloud chamber has however played a very important role in the history
of physics.
32
expanded, starting boiling where passing charged particles have ionized the
atoms of the liquid. The technique was honoured by the Nobel prize award
to D. Glaser in 1960. Even today, bubble chamber photographs provide the
aesthetically most appealing visualization of subnuclear collisions.
A question may arise: How two opposite processes can both produce energy?
Can we make an inexhaustible souce of energy by breaking up and then fusing
the same nuclei? Of cousre not! The nergy conservation law cannot be cir-
cumvented in no way. When speaking about fusion and fission, we speak about
different ranges of nuclei. Energy can only be released when either light nuclei
fuse or heavy nuclei fission.
To understand why this is so, let us recollect that for releasing energy the
mass of initial nuclei must be greater than the mass of the products of a nuclear
reaction. The mass difference is transformed into the released energy. And why
the product nuclei can loose some mass as compared to the initial nuclei? Be-
cause they are more tightly bound, i.e. their binding energies are lager.
Fig. 5.3 shows the dependence of the binding energy B per nucleon on the
number A of nucleons constituting a nucleus. As you see, the curve reaches the
maximum value of ∼ 9 MeV per nucleon at around A ∼ 50. The nuclei with such
number of nucleons cannot produce energy neither through fusion nor through
fission. They are kind of “ashes” and cannot serve as a fuel. In contrast to
them, very light nuclei, when fused with each other, make more tightly bound
products as well as very heavy nuclei do when split up in lighter fragments.
In fission processes, which were discovered and used first, a heavy nucleus
like, for example, uranium or plutonium, splits up in two fragments which are
both positively charged. These fragments repel each other by an electric force
and move apart at a high speed, distributing their kinetic energy in the sur-
rounding material.
33
B/A, (MeV)
10 10
8 | {z } 8
| {z }
| {z }
6 - . 6
↑ ← fission ←
4 fusion 4
2 % 2
0 0
0 50 100 150 200 250
number of nucleons, A
Chain reaction
The discovery that opened up the era of nuclear energy was made in 1939 by
German physicists O. Hahn, L. Meitner, F Strassmann, and O. Frisch. They
found that a uranium nucleus, after absorbing a neutron, splits into two frag-
34
ments. This was not a spontaneous but induced fission
n + 235 140 94
92 U −→ 54 Xe + 38 Sr + n + n + 185 MeV (5.4)
that released ∼ 185 MeV of energy as well as two neutrons which could cause
similar reactions on surrounding nuclei. The fact that instead of one initial
neutron, in the reaction (5.4) we obtain two neutrons, is crucial. This gives us
the possibility to make the so-called chain reaction schematically shown in Fig.
5.4.
n
t
Un
t t
Un Un
t t t t
Un Un Un Un
t t t t t t t t
In such process, one neutron breaks one heavy nucleus, the two released neu-
trons break two more heavy nuclei and produce four neutrons which, in turn,
can break another four nuclei and so on. This process develops extremely fast.
In a split of a second a huge amount of energy can be released, which means
explosion. In fact, this is how the so-called atomic bomb works.
Can we control the development of the chain reaction? Yes we can! This is
done in nuclear reactors that produce energy for our use. How can it be done?
Critical mass
First of all, if the piece of material containing fissile nuclei is too small, some
neutrons may reach its surface and escape without causing further fissions. For
each type of fissile material there is therefore a minmal mass of a sample that
can support explosive chain reaction. It is called the critical mass. For example,
the critical mass of 235
92 U is approximately 50 kg. If the mass is below the critical
value, nuclear explosion is not possible, but the energy is still released and the
sample becomes hot. The closer mass is to its critical value, the more energy is
released and more intensive is the neutron radiation from the sample.
The criticality of a sample (i.e. its closeness to the critical state) can be
reduced by changing its geometry (making its surface bigger) or by putting inside
it some other material (boron or cadmium) that is able to absorb neutrons. On
35
the other hand, the criticality can be increased by putting neutron reflectors
around the sample. These reflectors work like mirrors from which the escaped
neutrons bounce back into the sample. Thus, moving in and out the absorbing
material and reflectors, we can keep the sample close to the critical state.
To collect the energy, water flows through the reactor core. It becomes
extremely hot and goes to a steam generator. There, the heat passes to water
in a secondary circuit that becomes steam for use outside the reactor enclosure
for rotating turbines that generate electricity.
The Koeberg power station has the largest turbine generators in the south-
ern hemisphere and produces ∼10000 MWh of electric energy. Construction of
Koeberg began in 1976 and two of its Units were commissioned in 1984-1985.
Since then, the plant has been in more or less continuous operation and there
have been no serious incidents.
Eskom that operates this power station, may be the current technology
leader. It is developing a new type of nuclear reactor, a modular pebble-bed
reactor (PBMR). In contrast to traditional nuclear reactors, in this new type of
reactors the fuel is not assembled in the form of rods. The uranium, thorium or
plutonium fuels are in oxides (ceramic form) contained within spherical pebbles
made of pyrolitic graphite. The pebbles, having a size of a tennis ball, are in a
bin or can. An inert gas, helium, nitrogen or carbon dioxide, circulates through
the spaces between the fuel pebbles. This carries heat away from the reactor.
36
Ideally, the heated gas is run directly through a turbine. However since the
gas from the primary coolant can be made radioactive by the neutrons in the
reactor, usually it is brought to a heat exchanger, where it heats another gas,
or steam.
A pebble-bed reactor thus can have all of its supporting machinery fail, and
the reactor will not crack, melt, explode or spew hazardous wastes. It simply
goes up to a designed ”idle” temperature, and stays there. In that state, the
reactor vessel radiates heat, but the vessel and fuel spheres remain intact and
undamaged. The machinery can be repaired or the fuel can be removed.
A large advantage of the pebble bed reactor over a conventional water reac-
tor is that they operate at higher temperatures. The reactor can directly heat
fluids for low pressure gas turbines. The high temperatures permit systems to
get more mechanical energy from the same amount of thermal energy.
Another advantage is that fuel pebbles for different fuels might be used in
the same basic design of reactor (though perhaps not at the same time). Pro-
ponents claim that some kinds of pebble-bed reactors should be able to use
thorium, plutonium and natural unenriched Uranium, as well as the customary
enriched uranium. One of the projects in progress is to develop pebbles and
reactors that use the plutonium from surplus or expired nuclear explosives.
37
yield several times more energy than a fission reaction. This is clear from the
curve given in Fig. 5.3. Indeed, a change of the binding energy (per nucleon
nucleon) is much more significant for a fusion reaction than for a fission reac-
tion. Fusion is, therefore, a much more powerful source of energy. For example,
10 g of Deuterium which can be extracted from 500 litres of water and 15 g of
Tritium produced from 30 g of Lithium would give enough fuel for the lifetime
electricity needs of an average person in an industrialised country.
But this is not the only reason why fusion attracted so much attention from
physicists. Another, more fundamental, reason is that the fusion reactions were
responsible for the synthesis of the initial amount of light elements at primordial
times when the universe was created. Furthermore, the synthesis of nuclei con-
tinues inside the stars where the fusion reactions produce all the energy which
reaches us in the form of light.
Thermonuclear reactions
If fusion is so advantageous, why it is not used instead of fission reactors? The
problem is in the electric repulsion of the nuclei. Before the nuclei on the left
hand side of Eq. (5.5) can fuse, we have to bring them somehow close to each
other to a distance of ∼ 10−13 cm. This is not an easy task! They both are
positively charged and “refuse” to approach each other.
When the nuclei fuse, they release much more energy than was spent to
heat up the plasma. Thus the initial energy “investment” pays off. The typical
temperature needed to ignite the reaction of the type (5.5) is extremely high.
In fact, it is the same temperature that our sun has in its center, namely, ∼15
million degrees. This is why the reactions (5.3), (5.5), and the like are called
thermonuclear reactions.
38
rected to plasma from all sides. In spite of all efforts and ingenious tricks, all
such attempts till now have failed. Most probably this straightforward approach
to controllable fusion is doomed because one has to hold in hands a “piece of
burning sun”.
Cold fusion
To visualize the struggle of the nuclei approaching each other, imagine yourself
pushing a metallic ball towards the top of a slope shown in Fig. 5.5. The more
kinetic energy you give to the ball, the higher it can clime. Your purpose is to
make it fall into the narrow well that is behind the barrier.
Coulomb
barrier
¡
Veff ¡
ª
projectile
¾
x
R
In fact, the curve in Fig. 5.5 shows the dependence of relative potential
energy Veff between two nuclei on the distance R separating them. The deep
narrow well corresponds to the strong short-range attraction, and the ∼ 1/R
barrier represents the Coulomb (electric) repulsion. The nuclei need to over-
come this barrier in order to “touch” each other and fuse, i.e. to fall into the
narrow and deep potential well. One way to achieve this is to give them enough
kinetic energy, which means to rise the temperature. However, there is another
way based on the quantum laws.
As you remember, when discussing the motion of the electron inside an atom
(see Sec. 5.1), we said that it formed a “cloud” of probability around the nu-
cleus. The density of this cloud diminishes at very short and very long distances
but never disappears completely. This means that we can find the electron even
inside the nucleus though with a rather small probability.
39
The nuclei moving towards each other, being microscopic objects, obey the
quantum laws as well. The probability density for finding one nucleus at a dis-
tance R from another one also forms a cloud. This density is non-zero even
under the barrier and on the other side of the barrier. This means that, in con-
trast to classical objects, quantum particles, like nuclei, can penetrate through
potential barriers even if they do not have enough energy to go over it! This is
called the tunneling effect.
How can this be done? The idea is to put the nuclei we want to fuse, inside
a molecule where they can stay close to each other for a long time. Further-
more, in a molecule, the Coulomb barrier becomes thinner because of electron
screening. In this way fusion may proceed even at room temperature.
This idea of cold fusion was originally (in 1947) discussed by F. C. Frank
and (in 1948) put forward by A. D. Sakharov, the “father” of Russian hydrogen
bomb, who at the latest stages of his career was worldwide known as a prominent
human rights activist and a winner of the Nobel Prize for Peace. When working
on the bomb project, he initiated research into peaceful applications of nuclear
energy and suggested the fusion of two hydrogen isotopes via the reaction (5.5)
by forming a molecule of them where one of the electrons is replaced by a muon.
The muon is an elementary particle (see Sec. 5.9), which has the same
characteristics as an electron. The only difference between them is that the
muon is 200 times heavier than the electron. In other words, a muon is a heavy
electron. What will happen if we make a muonic atom of hydrogen, that is a
bound state of a proton and a muon? Due to its large mass the muon would be
very close to the proton and the size of such atom would be 200 times smaller
than that of an ordinary atom. This is clearly seen from the formula for the
atomic Bohr radius
~2
RBohr = ,
me2
where the mass is in the denominator.
Now, what happens if we make a muonic molecule? It will also be 200 times
smaller than an ordinary molecule. The Coulomb barrier will be 200 times thin-
ner and the nuclei 200 times closer to each other. This is just what we need!
Speaking in terms of the effective nucleus–nucleus potential shown in Fig. 5.5,
we can say that the muon modifies this potential in such a way that a sec-
ond minimum appears. Such a modified potential is (schematically) shown in
Fig. 5.6.
The molecule is a bound state in the shallow but wide minimum of this
potential. Most of the time, the nuclei are at the distance corresponding to
40
probability density
¡
Veff ª
¡
x R
Figure 5.6: Effective nucleus–nucleus potential (thick curve) for nuclei confined in
a molecule. Thin curve shows the corresponding distribution of the probability for
finding the nuclei at a given distance from each other.
the maximum of the probability density distribution (shown by the thin curve).
Observe that this density, though is rather small, is not zero under the barrier
and even at R = 0. This means that the system can (with a small probability)
jump from the shallow well into the deep well through the barrier, i.e. can
tunnel and fuse.
The quantum mechanical wave function (that describes the probability den-
sity) oscillates with a frequency which is proportional to the energy of the sys-
tem. With a typical binding energy of a muonic molecule of 300 eV this fre-
quency is ∼ 1017 s−1 . This means that the particle hits the barrier with this
frequency and during 1 microsecond it makes 1011 attempts to jump through it.
The calculations show that the penetration probability is ∼ 10−7 . Therefore,
during 1 microsecond nuclei can penetrate through the barrier 10000 times and
fusion can happen much faster than the decay rate of the muon.
Cold fusion via the formation of muonic molecules was done in many lab-
oratories, but unfortunately, it cannot solve the problem of energy production
for our needs. The obstacle is the negative efficiency, i.e. to make muonic cold
fusion we have to spend more energy than it produces. The reason is that muons
do not exist like protons or electrons. We have to produce them in accelerators.
This takes a lot of energy.
41
Actually, the muon serves as a catalyst for the fusion reaction. After help-
ing one pair of nuclei to fuse, the muon is liberated from the molecule and can
form another molecule, and so on. It was estimated that the efficiency of the
energy production would be positive only if each muon ignited at least 1000
fusion events. Experimentalists tried their best, but by now the record number
is only 150 fusion events per muon. This is too few. The main reason why
the muon does not catalyze more reactions is that it is eventually trapped by a
4
He nucleus which is a by-product of fusion. Helium captures the muon into an
atomic orbit with large binding energy, and it cannot escape.
Nonetheless, the research in the field of cold fusion continues. There are
some other ideas how to keep nuclei close to each other. One of them is to
put the nuclei inside a crystal. Another way out is to increase the penetration
probability by using molecules with special properties, namely, those that have
quantum states with almost the same energies as the excited states on the
compound nucleus. Scientists try all possibilities since the energy demands of
mankind grow continuously and therefore the stakes in this quest are high.
5.9.1 β decay
Among the three types of radioactivity, the α and γ rays were easily explained.
The emission of α particle is kind of fission reaction, when an initial nucleus
spontaneously decays in two fragments one of which is the nucleus 42 He (i.e.
α particle). The γ rays are just electromagnetic quanta emitted by a nuclear
system when it transits from one quantum state to another (the same like an
atom emits light).
The β rays posed the puzzle. On one hand, they are just electrons and
you may think that it looks simple. But on the other hand, they are not the
electrons from the atomic shell. It was found that they come from inside the
nucleus! After the β-decay, the charge of the nucleus increases in one unit,
A A
Z (parent nucleus) −→ Z+1 (daughter nucleus) + e ,
Thre was another puzzle associated with the β decay: The emitted electrons
did not have a certain energy. Measuring their kinetic energies, you could find
very fast and very slow electrons as well as the electrons with all intermediate
speeds. How could identical parent nuclei, after loosing different amount of en-
ergy, become identical daughter nuclei. May be energy is not conserving in the
42
quantum world? The fact was so astonishing that even Niels Bohr put forward
the idea of statistical nature of the energy conservation law.
To explain the first puzzle, it was naively suggested that neutron is a bound
state of proton and electron. At that time, physicists believed that if something
is emitted from an object, this something must be present inside that object
before the emission. They could not imagine that a particle could be created
from vacuum.
The naive (pe) model of the neutron contradicted the facts. Indeed, it was
known already that the pe bound state is the hydrogen atom. Neutron is much
smaller than the atom. Therefore, it would be unusually tight binding, and
perhaps with something elese involved that keeps the size small. By the way,
this “something elese” could also save the energy conservation law. In 1930,
Wolfgang Pauli suggested that in addition to the electron, the β decay involves
another particle, ν, that is emitted along with the electron and carries away
part of the energy. For example,
234 234
90 Th −→ 91 Pa + e− + ν̄ . (5.6)
This additional particle was called neutrino (in Italian the word “neutrino”
means small neutron). The neutrino is electrically neutral, has extremely small
mass (may be even zero, which is still a question in 2004) and very weakly
interacts with matter. This is why it was not detected experimentally till 1956.
The “bar” over ν in Eq. (5.6) means that in this reaction actually the anti-
neutrino is emitted (see the discussion on anti-particles further down in Sec.
5.9.2).
At the beginning the only source of energetic particles to strike other parti-
cles were the cosmic rays. Earth is constantly bombarded by all sort of particles
coming from the outer space. Atmosphere protects us from most of them, but
many still reach the ground.
Antiparticles
In 1932, studying the cosmic rays with a bubble chamber, Carl Anderson made
a photograph of two symmetrical tracks of charged particles. The measurements
showed that one track belonged to an electron and the other was made by a
particle having the same mass and equal but positive charge. These particles
were created when a cosmic γ quantum of a high energy collided with a nucleus.
43
The discovered particle was called positron and denoted as e+ to distinguish
it from the electron, which sometimes is denoted as e− . It was the first an-
tiparticle discovered. Later, it was found that every particle has its “mirror
reflection”, the antiparticle. It is used “bar” over a particle symbol to denote
an antiparticle. For example, p̄ is the anti-proton, which has the same mass as
an ordinary proton but a negative charge.
When a particle collides with its “mirror reflection” they annihilate, i.e.
they burn out completely. In this collision, all their mass is transformed into
electromagnetic energy in the form of γ quanta. For example, if an electron
collides with a positron, the following reaction may take place
e− + e+ −→ γ + γ , (5.7)
where two photons are needed to conserve the total momentum of the system.
In principle, stable antimatter can exist. For example, the pair of p̄ and e+
can form an atom of anti-hydrogen with exactly the same energy states as the
ordinary hydrogen. Experimentally, atoms of anti-helium were obtained. The
problem with them is that surrounded by ordinary matter, they cannot live
long. Colliding with ordinary atoms, they annihilate very fast.
There are speculations that our universe should be symmetric with respect
to particles and antiparticles. Indeed, why should preference be given to matter
and not to anti-matter? This implies that somewhere very far it must be equal
amount of anti-matter, i.e. anti-universe. Can you imagine what happens if
they meet?
The same inexhaustible cosmic rays revealed the π and K mesons in 1947.
The π mesons (or simply pions) were theoretically predicted twelve years before
by Yukawa, as the mediators of the strong forces between nucleons. The K
mesons, however, were unexpected. Furthermore, they showed very strange be-
haviour. They were easily created only in pairs. The probability of the inverse
process (i.e. their decay) was 1013 times lower than the probability of their
creation.
It was suggested that these particles possess a new type of charge, the
strangeness, which is conserving in the strong interactions. When a pair of
such particles is created, one of them has strangeness +1 and the other −1, so
the total strangeness remains zero. When decaying, they act individually and
therefore the strangeness is not conserving. According to the suggestion, this
is only possible through the weak interactions that are much weaker than the
44
strong interactions (see Sec. 5.9.4) and thus the decay probability is much lower.
The golden age of particle physics began in 1950-s with the advent of parti-
cle accelerators, the machines that produced beams of electrons or protons with
high kinetic energy. Having such beams available, experimentalists can plan the
experiment and repeat it, while with the cosmic rays they were at the mercy of
chance. When the accelerators became the main tool of exploration, the particle
physics acquired its second name, the high energy physics.
Then it was realized that it would be more logical to divide the particles in
three families according to their ability to interact via weak, electromagnetic,
and strong forces (all particles experience gravitational attraction towards each
45
other). Except for the gravitational interaction, the photon (γ quantum) partic-
ipates only in electromagnetic interactions, the leptons take part in both weak
and electromagnetic interactions, and hadrons are able to interact via all forces
of nature (see Sec. 5.9.4).
The quest for the constituent parts of the neutron has led us to something
unexpected. We found that there are a hundred of different particles that can
be “knocked out” of the neutron but none of them are its parts. Actually, the
neutron itself can be knocked out of some of them! What a mess! Further
efforts of experimentalists could not find an order, which was finally discovered
by theoreticians who introduced the notion of quarks.
At first, they considered a subset of the hadrons and developed a theory with
only three types of such truly elementary particles. When Murray Gell-Mann
thought of the name for them, he came across the book ”Finnegan’s Wake”
by James Joyce. The line ”Three quarks for Mister Mark...” appeared in that
fanciful book (in German, the word “quark” means cottage cheese). He needed
a name for three particles and this was the answer. Thus the term quark was
coined.
Later, the theory was generalized to include all known particles, which re-
quired six types of quarks. Modern theories require also that the number of
different leptons should be the same as the number of different quark types.
Thus, the world is constructed of just twelve types of elementary building blocks
that are given in Table 5.4. Amazingly enough, the electron that was discovered
before all other particles, more than a century ago, turned out to be one of them!
46
family elementary particle symbol charge mass (MeV)
electron e− −1 0.511
muon µ− −1 105.7
leptons tau τ− −1 1777
electron neutrino νe 0 ∼0
muon neutrino νµ 0 ∼0
tau neutrino ντ 0 ∼0
up u +2/3 360
down d −1/3 360
quarks strange s −1/3 1500
charmed c +2/3 540
top t +2/3 174000
bottom b −1/3 5000
Strong 1 Short
Physicists are trying to find one theory that would describe all the forces in
nature as a single law. So far they have succeeded in producing a single theory
that describes the weak and electromagnetic forces (called electroweak force).
The strong and gravitational forces are not yet described by this theory.
Grand unification
47
? ? ?
? ? ? ?
? ? BIG BANG ? ?
0
quantum gravity
1032 K 10−43 sec
quarks, X
1028 K 10−35 sec
hadrons, leptons, Z, W
1015 K 10−10 sec
+
n+ν → p+e , −
p+ ν̄ → n+e
1010 K 1 sec
4
p+n → d+γ, d+d → He+γ
109 K 10 sec
pp–chain
7
10 K 500 sec
∼ ∼
2.9 K today 15 × 109 years
? ?
temperature time
The ideal “democracy” (equality) among the forces lasted only a small frac-
tion of a second. By the time t ∼ 10−43 sec the universe cooled down to ∼ 1032 K
and the gravity separated. The other three forces, however, remained unified
into one universal interaction mediated by an extremely heavy particle, the so-
called X boson, which could transform leptons into quarks and vice versa.
When at t ∼ 10−35 sec most of the X bosons decayed, the quarks combined
in trios and pairs to form nucleons, mesons, and other hadrons. The only sym-
metry which lasted up to ∼ 10−10 sec, was between the electromagnetic and
weak forces mediated by the Z and W particles. From the moment when this
last symmetry was broken (∼ 10−10 sec) until the universe was about a second
old, neutrinos played the most significant role by mediating the neutron-proton
transmutations and therefore fixing their balance (neutron to proton ratio).
Already in few seconds after the Big Bang nuclear reactions started to occur.
The protons and neutrons combined very rapidly to form deuterium and then
helium. During the very first seconds there were too many very energetic pho-
tons around which destroyed these nuclei immediately after their creation. Very
soon, however, the continuing expansion of the universe changed the conditions
in favour of these newly born nuclei. The density decreased and the photons
could not destroy them that fast anymore.
During a short period of cosmic history, between about 10 and 500 seconds,
the entire universe behaved as a giant nuclear fusion reactor burning hydrogen.
This burning took place via a chain of nuclear reactions, which is called the pp-
chain because the first reaction in this sequence is the proton-proton collision
leading to the formation of a deuteron. But how do we know that the scenario
48
was like this? In other words, how can we check the Big–Bang theory? Is it
possible to prove something which happened 15 billion years ago and in such a
short time? Yes, it is! The pp-chain fusion is the key for such a proof.
p+p → 2
H + e+ + ν
pp-chain: −
e +p + p → 2
H+ν
p + 2H → 3
He + γ
3
He + 3 He → 4
He + p + p
3
He + 4 He → 7
Be + γ
. &
e−+ 7 Be → 7 Li + ν p + 7 Be → 8 B + γ
p + 7 Li → 8 Be + γ 8
B → 8 Be∗ + e+ +ν
8
Be → 4 He + 4 He 8
Be∗ → 4 He + 4 He
crease. After a few minutes the temperature dropped to such a level that the
fusion practically stopped because the kinetic energy of the nuclei was not suf-
ficient to overcome the electric repulsion between nuclei anymore. Therefore
the abundances of light elements in the cosmos were fixed (we call them the
primordial abundances). Since then, they practically remain unchanged, like a
photograph of the past events, and astronomers can measure them. Comparing
the measurements with the predictions of the theory, we can check whether our
assumptions about the first seconds of the universe are correct or not.
49
Chapter 6
• Motion of particles
50
which allowed him to take very accurate measurements over a good range of
pressures and volumes. He discovered the startlingly simple fact that the pres-
sure and volume are not just vaguely inversely related, but are exactly inversely
proportional.
p ∝ 1/V
1. p ∝ 1/V and pV = a
Here we relate p and V and view the relationship between them as inverse
proportion : p is inversely proportional to V ; this yields a hyperbolic graph
if we plot p against V
Note that the law requires two conditions. First that the amount of gas
stay constant. Clearly, if you let a little of the air escape from the syringe,
the force you need to apply to push the plunger in further suddenly becomes
less, and the inverse proportion is broken. Second, the temperature must stay
constant. Cooling or heating matter generally causes it to contract or expand.
If you were to heat up the gas in the syringe, it would expand and force you
to apply a greater force to keep the plunger at a given position, and again
the proportionality would be broken. (The idea of temperature was not well
understood in Boyles time, and in any case he did not include this condition;
however, his results were still very good because his apparatus stayed at a more-
or-less constant room temperature.)
51
The parameter a (a parameter is a variable constant i.e. it is constant in a
particular set of situations, but in two different sets of situations it has different
constant values) is therefore clearly a function of temperature and amount of
gas (moles of gas). These two factors are covered by the other two laws.
52
Volume Pressure Volume Pressure
(graduation mark) (inches mercury) (graduation mark) (inches mercury)
48 29 2/16 23 61 5/16
46 30 9/16 22 64 1/16
44 31 15/16 21 67 1/16
42 33 8/16 20 70 11/16
40 35 5/16 19 74 2/16
38 37 18 77 14/16
36 39 5/16 17 82 12/16
34 41 10/16 16 87 14/16
32 44 3/16 15 93 1/16
30 47 1/16 14 100 7/16
28 50 5/16 13 107 13/16
26 54 5/16 12 117 9/16
24 58 13/16
Table 6.1:
In symbols :
V ∝T
or
V = bT
which yields a straight line graph through the origin with a gradient of b. Now,
b is a function of the two parameters of pressure (p) and molarity (n).
Again, you can imagine the apparatus to be a gas syringe containing a certain
amount of air that is linked to a Bourdon gauge via a rubber pipe. However,
now the plunger must be able to move freely in and out as you heat or cool the
syringe in a water bath (with a thermometer in it.) In this way you can take
pressure and temperature readings.
InIn teresti ing Charless Law is also known as Gay-Lussacs Law. This is because Charles
teresti ing
Fact:
Fact: did not publish his discovery, and it was rediscovered independently by
another French Chemist Joseph Louis Gay-Lussac some years later.
53
Question: Ammonium chloride and calcium hydroxide are allowed
to react. The released ammonia is collected in a gas syringe and
sealed in. This is allowed to come to room temperature which is
32o C. The volume of the ammonia is found to be 122 ml. It is now
placed in a water bath set at 7o C. What will be the volume reading
after the syringe has been left in the bath for a good while (assume
the plunger moves completely freely) ?
Answer:
1. Since V = bT and b is fixed (since it depends on p and n, both
of which are constant here) we have that
V2 /T2 = V1 /T1
Thus
V2 /280 = 122/305
V2 = 112ml.
2. Since
V ∝T
(p and n are constant, therefore Charless Law holds) and since
the temperature changes by a factor of 280/305, it follows that
the volume must change by the same factor. Therefore the new
volume must be:
122(280/305) = 112ml
Note that here the temperature must be converted to Kelvin (SI)
since the change from degrees Celcius involves addition, not multi-
plication by a fixed conversion ratio (as is the case with pressure and
volume.)
This essentially states that the volume occupied by any kind of gas is directly
proportional to the number of gas atoms or molecules. Symbolically we can write
this as
V ∝n
54
for p and T constant. As an equation we have
V = cn
2SO2 + O2 → 2SO3
pV ∝ nT
or as an equation :
pV = nRT
R is called the universal gas constant and has the value of 8.3143 J.K.mol −1 .
This is essentially a constant for all gases within a certain range of physical
situations. It is also sometimes written as
pV = mRT /M
using n = m/M .
Note that any of the three laws can be obtained from this equation by keeping
two of p, V , n or T constant. For example, if n and T are kept constant then
pV = nRT = a.
55
A forth relation emerges if we keep V and n constant:
p = (nR/V )T
= dT
pV = kT
or as a proportionality
pV ∝ T.
Now you can relate two states by saying that
p2 V2 /T2 = p2 V2 /T2 .
Vm = V /n
= RT /p
= (8.314).(273)/(1.013105)
= 2.2410 − 2m3 .
56
2. There are forces of attraction and repulsion between the particles
This model allows us to explain phase changes for instance. In the solid
phase the particles mostly vibrate about fixed points. Most have too little
kinetic energy to loosen from the lattice. As the temperature increases, they
vibrate faster and faster until most have enough Ek to overcome the forces of
attraction keeping them in the lattice : the solid begins to melt and they now
move about each other, but most still have too little Ek to separate from the
liquid. Only when the temperature becomes high enough (at boiling point) do
most begin to separate to form a gas. In fact absolute temperature is defined
as being directly proportional to the average kinetic energy of the particles in
an object :
2
T ∝ Ekaverage ∝ vaverage
since Ek = 21 mv 2 Also, it allows us to explain what is meant by pressure of a
fluid (a gas or liquid). Pressure is a ratio of force to area
p = F/A
and each collision applies a small force to the walls of the container. If there
are more collisions (when volume is made smaller), or if the collisions are more
powerful (when the temperature is higher) then the pressure must increase.
THE IDEAL GAS MODEL :
57
Chapter 7
Organic Chemistry:
Molecules (Grade 12)
7.1 Introduction
7.1.1 What is organic chemistry?
Organic substances all contain carbon atoms and organic chemistry can there-
fore be thought of as the chemistry of carbon compounds. All organic com-
pounds also contain hydrogen. Compounds that contain only C − C and C − H
bonds are also called hydrocarbons. In addition to carbon and hydrogen, or-
ganic compounds can also contain oxygen, nitrogen, sulphur, phosphorus and
halogen atoms. The main sources of carbon, and therefore organic compounds,
are fuels such as coal, petroleum and natural gas. (NOTE: If you’re going to
have an essay, this fact could go in the essay and be left out here.)
58
• Carbon atoms can form up to four covalent bonds with other carbon
atoms. This means that long chain structures and also ring structures
may be formed. The chain structures can either be (a) straight or (b)
branched:
INSERT INSERT
(a) (b)
• Organic compounds can have the same molecular formula but different
structural formula. These substances are called structural isomers and
they have different names and chemical properties.
Worked example 1: Draw two structural isomers with the molecular for-
mula C4H10. (You won’t know how to name these compounds yet, but
remember to come back later and name the isomers.) INSERT
• Most organic compounds are non-polar and so there won’t be many colli-
sions between compounds. So according to the collision theory, the rates
of reactions will be slow and therefore the yields of organic reactions are
usually quite low.
• Since most organic compounds are non-polar, they are usually insoluble
or only slightly soluble in water.
• The majority of organic compounds are gases or liquids which implies that
their intermolecular forces are not very strong.
• Most organic reactions are non-stoichiometric. This means that the mass
of the reactants will not equal the mass of the products and it can be
explained by the poor yields of oganic reactions described above.
• Two or more of the same molecule can bond together to form a long chain
or polymer. The type of reaction is called polymerisation.
Worked example 2: List the dimer (two molecules) and polymer of the
monomer ethene (C2H4).
59
that contain only single bonds are called saturated (e.g. alkanes). Compounds
that contain at least one double (e.g. alkenes) or triple bond (e.g. alkynes) are
called unsaturated. The unsaturated compounds may also contain single bonds.
A few letters in the name of the examples has been written in bold. This
shows the name ending which is used for a particular functional group (this will
be more clear when you read the next section on naming of compounds).
60
Ester
(R=alkyl group; eg. CH3)
methyl methanoate
2. You must learn the prefixes that we use to indicate the number of carbon
atoms in a main or branched chain. If the carbon atoms are in a main chain,
the prefix will get an ending which shows the compound’s functional group (eg.
methane). If the carbon atoms form part of a branched group, then the prefix
will be given the ending ”yl” (eg. methyl).
Now we are ready to consider the rules for naming of organic compounds.
The rules are drawn up by on organisation of chemists called IUPAC and so we
sometimes refer to the IUPAC nomenclature for a compound.
INSERT
1. Identify the functional group of the compound. This will determine the
ending of the name.
Example: The compound is an alkene so the ending will be ”ene”.
3. Number the longest carbon chain. If there are double or triple bonds,
start numbering so that these have the lowest possible number. If there are only
single bonds, start at the end nearest the first branched group. The branched
61
groups should have the lowest numbers possible but this does not take priority
over the number of the double or triple bond.
Example: The numbering must begin closest to the double bond. This means
that the double bond is at carbon 2 and the compound name will end with
”2-ene”.
4. Name the branched groups according to the number of carbons atoms that
they contain, and give them a number according to their position along the
longest carbon chain.
Example: There is a branched group at carbon number 2 which has one carbon
atom (methyl). There are 2 branched groups attached to carbon number 5 and
they both have 3 carbon atoms (propyl).
5. Use the prefixes di-, tri-, tetra- and penta- to show the presence of 2, 3,
4 or 5 identical branched groups, or identical double and triple bonds.
Example: There are 2 propyl branched groups so they will be listed as ”dipropyl”.
7. Combine the elements of the name into a single word in the following
order: branched groups, prefix, name ending according to the functional group
and its position along the longest carbon chain.
Example: The name of the compound is: 2-methyl-5,5-dipropylnon-2-ene.
Note: Although the above rules have been illustrated for hydrocarbons, the
same rules will apply to other organic compounds. The main difference will
be the ending of the name, which will depend on the functional group (see the
table in section 18.1.5).
62
ular formula for the neighbouring carbon atom, etc; branched groups are
shown in brackets after the carbon atom to which they are bonded, e.g.
CH3 CH(CH3 )CH3 Sometimes you may see a combination of the struc-
tural and condensed structural formula used, as it is more convenient not
to show all of the C − H bonds, e.g.
INSERT
7.2.3 Examples
INSERT FIGURES BELOW
Worked Example 1
a) f)
b) g)
c) h)
d) i)
e)
Answer: a) 2-chloro-3-methylbutane;
b) 6-ethyl-4-methylnon-2-ene;
c) butan-2-ol;
d) 3-methylpentanoic acid;
e) 4,4-bromochlorohexan-2-ol;
f) 3-methylbutan-2-one;
g) ethanal;
h) 2,2-dichloro-3-methylpentanol;
i) 1,2,3-propantriol
Worked Example 2
More
63
c
d
7.3 Hydrocarbons
7.3.1 Alkanes
These hydrocarbons have only single covalent bonds. This means that they are
unsaturated which makes them quite unreactive. The general formula for an
alkane is Cn H2n+2 where n is the number of carbon atoms.
Substitution reactions
Substitution reactions involve the removal of a hydrogen atom which is replaced
by a halogen atom (F , Cl, Br or I). The product is therefore called a halo-
alkane. Since alkanes and not very reactive, heat (∆) or light (hf) is needed to
start the reaction.
?/ hf e.g. CH4 + Br2 ? CH3Br + HBr ? CH2Br2 ? CHBr3 ? CBr4
Oxidation reactions
When alkanes are burnt in air, they react with the oxygen in the air and heat is
produced. This is called an oxidation or combustion reaction. Carbon dioxide
and water are given off as products. Heat is also given off which tells us that
these reactions are exothermic (and the heat of enthalpy ∆H will be negative).
e.g. CH4 + 2O2 ? CO2 + 2H2O + heat
7.3.2 Alkenes
Alkenes have the general formula Cn H2n . They contain at least one double bond
and since these are less stable than single bonds, alkenes are more reactive than
alkanes.
64
If the position of the double bond is not specified in the IUPAC name of
the compound, then you can assume that it at carbon number 1. These are the
structures that have been shown above. However, another structural isomer is
possible for the molecular formula C4 H8 :
Addition reactions
Alkenes can undergo additional reactions since they are unsaturated. They
readily react with hydrogen, water and halogens. The double bond is broken
and a single, saturated bond is formed. A new group is then added to one or
both of the carbon atoms that previously made up the double bond.
7.3.3 Alkynes
Alkyne compounds have a triple covalent bond and they are unsaturated. Triple
bonds are weaker than double bonds which makes alkynes highly reactive. The
general formula for alkynes is Cn H2n−2 . We will only consider the reactions
of ethyne for the syllabus. Ethyne is prepared by dripping water onto calcium
carbide, the source of the 2 carbon atoms in ethyne:
Oxidation reaction
When ethyne is burnt, it reacts with the oxygen in the air and produces carbon
dioxide and water. As for the oxidation of alkanes, the reaction is exothermic.
65
7.4.2 Oxidation reactions
Alcohols can easily be oxidized by KM nO4 or K2 Cr2 O7 which act as oxidizing
agents. The product will be an aldehyde. If an excess of the oxidizing agent is
added, then a carboxylic acid is formed.
If K2 Cr2 O7 is used as the oxidizing agent, then the orange colour of Cr2 O72−
changes to green with the formation of Cr 3+ ions.
The simplest carboxylic acids are methanoic acid and ethanoic acid:
7.4.4 Esters
Esters are the products of a reaction between an alcohol and a carboxylic acid.
They all contain the functional group COOR where R can be any alkyl group
(e.g. CH3 or CH2 CH3 ).
66
Worked Example 3
More
Answer: INSERT
1a) b)
H-C-C=C-C-C-C-H H-C-C-C-C-C-OH
CH3C(CH3)CHCH(CH3)CH2CH3 CH3CH2CH(CH2CH3)CH2COOH
2a) alkenes d) addition reaction b) CnH2n e) alkene is unsaturated;
c) compound (c) is saturated H-C-C-OH
3) C3H8 + 5O2 ? 3CO2 + 4H2O
4a) ethanol and propanoic acid b)
H-C-C-OH H-C-C-C-OH H-C-C-O-C-C-C-H
5) From the molecular formula, we can tell that this compound is
an alkene since the number of carbons and hydrogens agree with
the formula CnH2n. This is helpful in determining the possible
structures, the most obvious of which should be butene.
but-1-ene but-2-ene 2-methylprop-1-ene
67
Chapter 8
Organic Chemistry:
Macromolecules (Grade 12)
8.2.1 Polysaccharides
These are the simplest of the biological macromolecules, most are composed of
only 1 kind of chemical link, a sugar. There are a number of different sugars
but the two most important are glucose and fructose. Sugars are known as car-
bohydrates, the general chemical formula is (CH2 O) and most of them form
five or six member rings. Single sugar molecules are known as monosaccharides;
linking two together results in a disaccharide. The most common disaccharide
is ordinary white sugar, known chemically as sucrose. It is a combination of
glucose and fructose. Linking three or more sugars results in a polysaccharide
and the most important ones are all based on the sugar glucose.
Animals use polysaccharides as an energy source and store glucose in the
form of the polysaccharide glycogen. Plants polymerize glycogen further into
starch. The most important polysaccharide is cellulose which plants use as a
building material. Cellulose is indigestible to most animals due to the way it
is polymerized by plants. In the carbohydrate chain, every other molecule of
glucose is inverted. Fungi and some protozoa can metabolize cellulose however,
and many larger animals such as termites and cows use these protozoa to break
down cellulose into glucose. The metabolism of glucose is known as respiration.
68
In aerobic respiration, oxygen is used to break sugars down into carbon dioxide
and water. In anaerobic respiration, sugars are broken down into alcohols in
environments without oxygen. Plants use the energy of sunlight to turn carbon
dioxide and water back into carbohydrates, a process known as photosynthesis.
Plants thus recycle carbon dioxide and manufacture food for animals.
8.2.2 Polypeptides
These are the most complex of biological macromolecules, and in fact act like
tiny machines. The polypeptide chains are composed of substances known as
amino acids. There are around 20 different kinds of amino acids but they all are
composed of a central carbon atom with an amine group, a carboxylate group,
a hydrogen and one of 20 different chemical groups. Because this carbon atom
has four different chemical groups attached to it it is known as a ”chiral center”
and amino acids all have what are known as ”stereo isomers”. A stereoisomer
is rather like a pair of hands. Each is nearly identical except they are mirror
images of one another. The importance of this is that all life on earth can
only metabolize amino acids with an ”L” configuration. Likewise, it can only
metabolize glucose with a ”D” configuration.
Amino acids are linked together by combining the amine group on one end
with the carboxylate group on the other amino acid.
The chain still has an amine group on one end and a carboxyl ate group
on the other end and thus, can be polymerized further. As the chain grows in
size, it begins to twist into a spiral structure. This is held together by weak
attachments known as ”hydrogen bonds” which form between hydrogen atoms
and atoms such as oxygen or nitrogen. The chain itself is known as the protein’s
primary structure. The spiral is called an ”alpha helix” and is known as the
”secondary structure” of the protein. Finally, the helix itself can bend and
twist into a particular three-dimensional shape known as the protein’s tertiary
structure.
Proteins can be used in a number of ways. Structural proteins perform what
cellulose did in plant cells, giving animal cells strength and protection. Keratin
is a very common structural protein found in the animal kingdom. It is what
horns, hooves, hair and scales are composed of. Natural silk is another example
of this class of proteins. When proteins are used as chemical catalysts, they
are known as enzymes. A catalyst is a chemical which speeds up a chemical
reaction, but remains unchanged itself. Enzymes are essentially what makes
cells alive. These proteins are responsible for all the chemical reactions which
result in cellular functions like respiration, photosynthesis and reproduction.
Enzymes are composed entirely of amino acids, but most enzymes have another
non-protein compound known as a coenzyme. The coenzyme is frequently an
organic compound containing a metal atom like iron, magnesium or zinc. In the
enzyme hemoglobin, heme is the coenzyme and contains iron.
69
8.2.3 Polynucleotides
This polymer is known chemically as deoxyribonucleic acid and it has 4 different
chemicals which form the links in its chain. Each link is known chemically as
a nucleotide. Like proteins, the chain is twisted into an alpha helix but each
DNA molecule is composed of two chains held together by hydrogen bonds.
The outer part of the chain is composed of simple sugars and phosphate groups.
To this chain are attached one of four ring like structures containing nitrogen
atoms. Hydrogen atoms from the ring on the opposite helix form hydrogen
bonds, and each type of ring pairs only with another particular type of ring. In
DNA the ring structures are known as adenine (’A’), thiamine (’T’), cytosine
(’C’), and guanine (’G’). Adenine only pairs with thiamine and cytosine only
pairs with guanine. The order of ring structures along the DNA chain is used by
cells to encode information regarding the sequence of amino acids in proteins.
Every three links encode a single type of amino acid. The order of the links
therefore is precisely correlated to the structure of proteins. Unlike proteins
however, DNA can replicate itself. To do so, the two chains of DNA come apart
and two new chains are created. Since each ring structure only bonds to 1 of
the other three structures (both form what are known as ”base pairs”), the
result is two identical molecules of DNA. Since DNA can contain billions of
base pairs, sometimes mistakes are made during replication. This is known as
a ”mutation”. Most mutations are fatal, but sometimes they can be beneficial.
Beneficial mutations accumulate over time and this is how new species evolve.
Simple organisms like bacteria have a single strand of DNA in a loop struc-
ture. Multicelled animals and plants have their DNA compacted into structures
known as ”chromosomes”. When new enzymes need to be made, a section of a
chromosome opens up, exposing its DNA. This is known as gene ”activation”.
In multicelled animals and plants, the DNA is contained in a special area of the
cell known as the nucleus. This protects the DNA from being damaged. Actual
protein synthesis is accomplished by another polynucleotide known as RNA, or
ribonucleic acid. It contains the sugar ribose and has a ring structure known
as uracil instead of thiamine. The enzyme RNA polymerase copies sections of
RNA from the DNA chain in the cell nucleus. The RNA then travels out of the
nucleus to a structure known as a ribosome. The RNA strand and ribosome
then assemble protein chains using amino acids. RNA is used this way because
if it is damaged it can easily be replaced. It is possible to replace RNA and
defective proteins, but if the DNA itself is damaged, it is impossible to repair.
70
to classify fats. ”Saturated fats” have few, if any double bonds. ”Polyunsatu-
rated fats” have many double bonds. Fats are important to cells as components
of the cell membrane. This barrier functions as the cell’s skin, protecting its
interior from harmful chemicals. When used as a membrane, one or more phos-
phate groups are linked to the glycerin, forming a ”phospholipid”. Phospholipids
are polar molecules, the phosphate attracting water and the long hydrocarbon
chain repelling it. The cell membrane is composed of a double layer of phospho-
lipid molecules, their hydrocarbon tails pointing inwards and their polar heads
pointing outward. Polar molecules like water are attracted to the outside of
the cell, but cannot penetrate the non-polar hydrocarbon barrier. Floating in
this layer of phospholipids are large proteins known as surface enzymes. Half
the enzyme is outside the cell and the other half inside. Some of these enzymes
are hollow, but functioning like machines, allow only certain molecules to enter
the cell. Because of this, the cell is said to have a ”semipermeable membrane”.
Other surface enzymes are more sophisticated. When encountering a specific
molecule outside the cell, the enzyme changes its shape and this triggers a chain
of chemical reactions inside the cell which can involve the cell’s DNA, activat-
ing genes. This is how a living cell reacts to its environment and is responsible
for thingssuch as cell differentiation in multicelled animals, and also primarily
howthe immune system functions.
Thus, it is seen how important biological macromolecules are to life and how
large structures are sequentially built up from smaller molecules. Most biolog-
ical macromolecules are composed primarily of hydrogen, oxygen, carbon and
nitrogen, the chemical elements themselves being recycled with energy supplied
either from the sun or as heat from the earth.
71
Part II
CHEMICAL CHANGE
72
Chapter 9
• Conservation of energy
73
Chapter 10
Representing Chemical
Change (Grade 10)
4N H3 + 5O2 → 4N O + 6H2 O
As stated earlier each compound represents a different molecule e.g. NH3
represents Ammonia, O2 represents oxygen, NO represents nitrogen oxide H2O
represents water. Compounds on the left of the arrow are called the reactants
and the compounds on the right are called the products. A reactant is a com-
pound that is needed for the reaction to occur, in this case the reactants are
NH3 and O2. What is formed from the reaction is called a product. The prod-
ucts in this reaction are NO and H2O. The coefficients for each of the molecules
represent the relative number of reactants needed and products formed. In this
case four ammonium molecules will react with five oxygen molecules to form
four nitrogen oxide molecules and six water molecules.
Occasionally a catalyst is added to the reaction. A catalyst is a substance
that speeds up the reaction without undergoing any net change to itself. This
is represented in the chemical equation by placing the chemical formula of the
catalyst above the arrow. In this example, platinum is added as the catalyst
and the equation then becomes:
Pt
4N H3 + 5O2 −−→ 4N O + 6H2 O
To show that heat was required for the reaction to take place, a Greek
delta (∆) is placed above the arrow in the same way as that of a catalyst.
For example, when calcium carbonate is heated, it decomposes to form calcium
oxide and carbon dioxide as shown in the following equation.
74
∆
CaCO3 −→ CaO + CO2
The state of the compounds can also be expressed in the chemical equation.
This is done by placing the correct label on the right hand side of the formula.
There are only four labels that can be used, these are:
1. (g) for gaseous compounds,
2. (l) for liquid compounds,
3. (s) for solid compounds, and
4. (aq) for aqueous (water) solution.
The decomposition of calcium carbonate can now be written as:
∆
CaCO3 (s) −→ CaO(s) + CO2 (g)
2H2 + O2 → 2H2 O
One oxygen molecule (O2) contains two O atoms. Thus the left hand side of
the equation has two O atoms. Water (H2O) contains one O atom. However,
there are two water atoms on the right hand side. Thus there are two O atoms
on the right hand side. The O atoms are now balanced on both sides. Hydrogen
(H2) consists of two H atoms and since there are two hydrogen molecules, there
are four H atoms on the left hand side. Using the same method, there are four
H atoms on the right hand side. Since all elements are equal on both sides, the
chemical equation is said to be balanced.
Zn + HCl → ZnCl2 + H2
75
Step 3 : Balance the equation:
You will notice that the zinc atoms balance but the chloride and
hydrogen atoms do not. Since there are two chloride atoms on the
right and only one on the left, we will give HCl a coefficient of two so
that there would be two chloride atoms on each side of the equation.
Zn + 2HCl → ZnCl2 + H2
Step 4 : Recheck the balancing of the equation:
By re-examing the equation you will notice that all the atoms are
now balanced.
Step 5 : Ensure all detail was added:
We were told initially that Zinc was a metal, hydrochloric acid and
zinc chloride were in aqueous solutions and hydrogen was a gas.
Question: You are told that ammonia reacts with oxygen over a
platinum catalyst to produce nitrogen oxide and water. Produce a
balanced equation.
Answer:
Step 1 : Identify the reactants and products and their chemical for-
mula:
The reactants of this equation are ammonia (N H3 ) and oxygen (O2 ).
The products are nitrogen oxide (N O) and water (H2 O).
Step 2 : Place the reactants on the left hand side and the products
on the right hand side of the arrow:
N H3 + O 2 → N O + H 2 O
Step 3 : Balance the equation:
You can start balancing any atom you choose, but all the atoms have
to be balanced. Usually it is best to start with atoms that appear
only once on each side, in this case that will be the N and H atoms.
Starting with the N atoms, there is one on the left hand side and
one on the right hand side. The N atoms are balanced.
There are three H atoms on the left and only two on the right. The
H atoms are not balanced. To balance the equation we will have to
give NH3 a coefficient of two and H2O a coefficient of three. This
will give six H atoms on both sides of the arrow. The equation now
looks like this:
2N H3 + O2 → N O + 3H2 O
Step 4 : Recheck the balancing of the equation:
We now know that the H atoms balance, but on closer examination
you will notice that the N atoms now do not balance. There are
two on the left and only one on the right. It is important to
76
note that when any change has been made to the equation
all atoms have to be rechecked to ensure that they still
balance. To balance the N atoms, the NO molecule will have to be
given a coefficient of two, hence:
2N H3 + O2 → 2N O + 3H2 O
Count each of the elements again, the N and H atoms balance but
the O atoms do not. There are two O atoms on the left and five on
the right. To balance the equation, O2 will need a coefficient of 2.
However, since we do not like working with fractions, all molecules
will be multiplied by two.
4N H3 + 5O2 → 4N O + H2 O
In this example steps one and two are not necessary as the reactants
and products have already been given.
Answer:
Step 1 : Balance the equation:
With a complex equation it is always best to start with atoms that
appear only once on each side i.e. Na, N and S atoms. Since the S
atoms already balance, we will start with Na and N atoms. There
are two Na atoms on the right and one on the left. We will add a
second Na atom by giving NaOH a coefficient of two. There are two
N atoms on the left and one on the right. To balance the N atoms
NH3 will be given a coefficient of two. The equation will now look
as follows:
77
on the right to balance the equation. This is done by adding another
H2O molecule on the right hand side. Now we need to recheck the
balance again.
78
Chapter 11
Quantitative Aspects of
Chemical Change (Grade
11)
• Atomic weights
79
Chapter 12
• activation energy
80
Chapter 13
81
(literally, outside heat, or throwing off heat). An exothermic reaction is more
favourable and thus more likely to occur. Our example reaction is exothermic,
which we already know from everyday experience, since burning gas in air gives
off heat.
A reaction may have a positive ∆H. This means that, to proceed, the reac-
tion requires an input of energy from outside. This type of reaction is called
endothermic (literally, inside heat, or absorbing heat).
• acid-base
• redox - REDuction and Oxidation
82
Chapter 14
For example:
2M g(s) + O2 → 2M gO(s)
This reaction rate depends on the rate at which the reactants, solid magne-
sium and oxygen gas, are used up, or the rate at which the product magnesium
oxide is formed.
The average rate of a reaction is expressed in terms of the number of mols
of reactant or product divided by the total reaction time. Using the same
magnesium reaction as shown above:
83
14.0.4 Factors affecting reaction rates
Several factors affect the rate of a reaction. It is important to know these
factors so that reaction rates can be controlled, e.g. to improve product yields
and efficiency in industrial processes:
∆H = Eprod − Ereact
84
[H2 F2 ] (activated complex)
activation
energy
Potential energy
H2 + F2
reactants
∆H = −268
k.J.mol−1 2HF
products
Time
The reaction between H2 (g) and F2 (g) needs energy in order to proceed,
called activation energy. An in-between, temporary state is then reached in
which the two reactants combine to give H2 F2 - this compound is called the
activated complex. The final product is HF and it has a lower energy than
the reactants. Thus ∆H is negative and the reaction is exothermic.
In an endothermic reaction, the products have a higher energy than the
reactants. An energy diagram is shown below for the endothermic reaction
XY + Z → X + Y Z.
[XYZ]
Potential energy
X + YZ
products
∆H > 0
XY + Z
reactants
Time
85
activated complex
activation
energy
Potential energy
products
activation energy
with a catalyst
reactants
Time
Question:
1. Write a balanced equation of the exothermic reaction between
Zn(s) and HCl.
2. Name 3 ways to increase the reaction rate between hydrochloric
acid and zinc metal.
Answer:
1. Zn(s) + 2HCl(aq) ⇔ ZnCl2 (aq) + H2(g)
2. A catalyst could be added, the zinc solid could be ground into
a fine powder to increase its surface area, the HCl concentra-
tion could be increased or the reaction temperature could be
increased.
86
14.2 Chemical equilibrium
14.2.1 Reversible reactions
Some reactions can take place in two directions. In one direction the reactants
combine to form the products - called the forward reaction. In the other, the
products react to regenerate the reactants - called the reverse reaction. A spe-
cial kind of double-headed arrow is used to indicate this type of reversible
reaction: XY + Z ⇔ X + Y Z
If the equation requires balancing, you will need to take into account the
molar ratios of reactants and products.
e.g. aA + bB ⇔ cC + dD
Kc = ([C]c [D]d )/([A]a [B]b )
Significance of Kc values
The formula for Kc has the concentration of the products in the numerator and
concentration of reactants in the denominator. So a high Kc value means that
the concentration of products is high and the reaction had a high yield. We can
also say that the equilibrium lies far to the right. The opposite is true for a low
Kc value. This implies a low yield and that the equilibrium lies far to the left.
87
2. concentration
3. pressure
Le Chatelier’s principle
Le Chatelier’s Principle helps to predict what a change in temperature, con-
centration or pressure will have on the position of the equilibrium in a chemical
reaction. It states: When the equilibrium of a closed system is disturbed, the
equilibrium will shift to cause the opposite effect and so cancel the change. In
other words the system will try to get back to equilibrium.
Observation:If we increase the temperature then the yield of NH3 will de-
crease.
Explanation:The above reaction is exothermic, so heat if given off in the
forward direction. Heat is used up in the reverse direction. So an increase in
temperature will favour the endothermic reverse reaction. Since this reaction
uses up NH3, its yield will decrease.
88
Pressure: n the case of gases, we refer to pressure instead of concentration.
A similar principle applies as that described before for concentration.
Observation:If we increase the pressure on the closed system, more SO3 will
be produced.
Explanation:The equilibrium will shift to decrease the pressure and since
pressure is directly proportional to the number of moles (because pV = nRT),
it will shift in the direction of the least number of moles of gas. The RHS
contains 2 mols of gas compared with 3 mols of gas on the LHS. So the forward
reaction will be favoured and more SO3 will be produced.
If we add a few drops of HCl (which contains Cl − ions) the equilibrium will shift
to the left to use up the excess Cl − ions. So more KCl solid will be produced
and its solubility therefore decreases.
Worked Example 11 :
Worked Example 12 :
89
2. 6 = 3 x [O2 ]
∴ [O2 ] = 2mol.dm−3
Worked Example 13 :
1.
Worked Example 14 :
Worked Example 15 :
90
it will precipitate out of the solution and can then be separated from
KOH by filtration.
91
Chapter 15
Electrochemical Reactions
(Grade 12)
The process whereby the atom involved loses electrons, is called Oxidation.
Electrons have negative charges and thus the atom attains a more positive
charge. An atom of magnesium is oxidized when it reacts with chlorine, i.e
92
M g + 2Cl → M g 2+ + 2Cl− (15.1)
Mg → M g 2+ + 2e−
2Cl + 2e− → 2Cl−
In the process of exchange of electrons when the two species react, the mag-
nesium becomes oxidized.
Reduction
The other species involved in the Redox reaction with the magnesium, is
the chlorine. The chlorine atoms each gain an electron and in so doing, get a
negative charge. This process of ‘accepting’ or gaining electrons is known as
reduction.
93
15.3.1 The ion-electron method
94
Step 3 : (NOTE TO SELF: step is deprecated, use westep instead.)
Combination and balancing of 2 half reactions:
The two balanced half reactions are, 15.3 and 15.6. When combined
they are as follows:
F e2+ → F e3+ + e−
M nO4− + 8H + + 5e− → M n2+ + 4H2 O
M nO4− +8H + +5e− +5F e2− → M n2+ +5F e3+ +4H2 O+5e− (15.7)
The two sides both have 5 electrons and these can be taken out to
simplify the equation. The spectator ions can also be added into the
final equation to complete the reaction.
Spectator Ions are those ions/species that do not take part in the
Redox reaction. They do not change their oxidation number, e.g.
the chloride ion Cl− stays as is and only swaps cations after the
redox reaction is complete. The same can be said for the potassium
ion K + which swaps its anions.
95
HN O3 (aq) + I2 (l) → HIO3 + N O2
electron flow
+ salt -
+
Cu bridge Zn
CuSO4(aq) ZnSO4(aq)
Note that the salt bridge acts as a transfer medium that allows ions to flow
through without allowing the different solutions to mix and react. The salt
bridge normally is a gel medium containing electrolyte species (usually aqueous
K + and Cl− ions).
Due to the different oxidation potentials of the two metals, the copper metal
is precipitated at the cathode as it collects the electrons donated by the zinc
anode. The zinc donates its electrons and in so doing, dissolves into solution.
96
The result is an increased concentration of ZnSO4 and a weaker solution of
CuSO4 .
The transfer of electrons between the connected electrodes is seen as a flow
of electric current. The electrons flow from the Zn anode to the Cu cathode.
The standard notation used for all voltaic/galvanic cells is:
anode|anode.electrolyte||cathode.electrolyte|cathode
where
The copper oxidizes the zinc and in so doing deposits itself on the zinc metal
as the zinc dissolves. The result is solid copper and a solution of zinc sulphate.
Zinc loses its electrons more readily than copper and thus is oxidized.
97
Anodes and Cathodes
The following table explains the definitions of anode and cathode:
0
Definition: The Standard EMF (Ecell ) is the EMF of a voltaic cell
operating under standard state conditions (solute concentrations =
1M), gas pressures = 1 atm, and temperatures = 298K. The symbol
0
denotes standard-state conditions.
0
Ecell = oxidation potential for half rxn + reduction potential for other half rxn
= Ecathode − Eanode
Thus the redox reaction of copper and zinc in a Daniel Cell will have a
standard EMF
0
Ecell = ECu − EZn
0
Ecell = 0.52 + (−0.76)
0
Ecell = −0.24 V
98
Definition: Potential difference is the difference in electric po-
tential (electric pressure to move electrons) between two points. It
is measured in the S.I. units of Volts (V).
The anode of a voltaic cell has a higher negative potential than the cathode
and electrons flow from the anode to the cathode.
Because only the complete cell (EMF) can be measured (Any reduction must
have an oxidation reaction), the half-cell electrode potentials have to measured
against a standard or reference point. Thus the decision was made to create a
standard reference electrode.
99
15.6.1 The dry cell (Leclanche cell)
The Lechlanche cell is a Zinc-Carbon dry cell battery used commercially as a
source of electrical power to drive radios, torches and walkmen. The battery
is set up so that the anode is the Zinc can, which act as the container (Outer
‘shell’) and the cathode s the graphite rod, which is immediately surrounded by
a paste of MnO2 and graphite carbon (carbon black).The rest of the Zinc can
is filled with a ZnCl2 and N H4 Cl paste.
The following reactions occur in this cell: At the anode:
At the cathode:
The carbon acts as an electrode transfer point and allows the current to flow
between the Zn anode and the M nO2 /Chloride cathode.
electron flow
+
A -
e-
e-
zinc anode
electolytic paste
graphite
cathode Zn(NH3)2Cl2 Zn++
MnO4/graphite
paste
At the cathode:
100
15.6.3 The lead-acid accumulator
The lead-acid battery is commonly known the 12 Volt car battery. The battery
is set up as follows: It consists of lead alloy grids bathed in a H2 SO4 solution.
The anode consists of spongy lead and the cathode consists of lead dioxide.
The following reactions occur in the cell:
P b(s) + HS)−
4 (aq) → P bSO4 (s) + H + (aq) + 2e−
P bO2 (s) + 3H + (aq) + HSO4− (aq) + 2e− → P bSO4 (s) + H2 O(l)
Both electrodes are coated with a white PbSO4 as the battery is used. The
cells each give a 2V EMF and thus 6 are combined to give a battery of 12V.
This battery can be recharged by means of electric currents which reverse the
above half reactions. In the recharging process, hydrogen and oxygen are pro-
duced and thus water needs to be periodically added to the battery to maintain
a supply of water which is vital in the operation of the battery.
The recharged battery allows for replacement of the PbO2 and Pb metal
and removes the PbSO4 covering. This reversal of the processes is termed
electrolytic reversal, ie electric current is used in the electrolytic cell, which
promotes the reverse reactions.
electrode connected electrode connected lead dioxide
to lead dioxide plates to spongy lead plates
H+ SO42- H+
H+
SO42-
H+
SO42-
SO42-
Banks of lead sulfuric acid
and lead
dioxide plates
spongy lead
Oxygen Reduction:(cathode)
The fuel cells normally use solid catalysts to facilitate the oxidation reaction.
The common catalysts are Platinum, Palladium and Silver. The expensive raw
materials and problems with handling potentially explosive hydrogen, has meant
that the technology has taken time to take off and become economically viable.
101
15.7 Electrolysis
(Grade 10) As discussed in section 15.4, an electrolytic cell is an electrochemical
cell that makes use of electricity to drive an otherwise unspontaneous chemical
reaction (bring about chemical change to species).
Industrial examples of electrolysis being used is the production of chlorine
gas from brine/sea water (N aCl) and the production of sodium metal by the
‘Downs’ process.
N a+ + e − → N a(s)
2H2 O(l) + 2e− → H2 (g) + 2OH − (aq)
2N a+ + 2e− → N a(l)
The electric current acts as a driving force for the redox reactions to occur.
102
carriers and facilitate the breakup of water to produce Hydrogen and Oxygen.
The following redox reactions occur:
At the anode:
2H2 O(l) → O2 (g) + 4H + + 4e−
At the cathode:
2H2 O(l) + 2e− → H2 (g) + 2OH − (aq)
103
15.10 Electro-refining of copper
Copper plays a major role in the electrical reticulation industry as it is very
conductive and is used in electric cables. One of the problems faced are that
the copper must be pure if it is to be an effective current carrier.
One of the methods used to purify copper, is electro-winning. The copper
electro-winning process is as follows:
4. areful control of the voltage and current allows the favorable electro-
winning and deposition of pure copper onto the cathodes as the copper
in the anodes slowly dissolves.
5. The other metal impurities (Zn, Au, Ag, Fe and Pb) do not dissolve and
form a solids sludge at the bottom of the tank or remain in solution in the
electrolyte.
At the cathode:
Cu(s) → Cu2+ (aq) + 2e−
15.11 Electroplating
The most common industrial use of electroplating is the galvanizing of iron and
steel to protect it from the oxidizing atmosphere and to provide it with cathodic
protection . The most common galvanizing agent is zinc.
The process of zinc electroplating (Galvanising) is as follows:
4. An electric current is provided to oxidize the zinc ions, which are reduced
and deposit on the steel structure.
104
15.12 Faraday’s laws of electrolysis
The British chemist, Michael Faraday discovered the relationship of electric
current flow due to electron movement and the amount of substance that is
consumed/deposited at the electrodes of and electrochemical cell. Some exam-
ples:
1. In the electroplating of zinc, every atom of zinc deposited onto the steel
structure, requires 2 electrons to be donated to form an atom of deposited
zinc.
2. The same concept can be used when determining how many electrons will
be given off by the chloride ions at the anode in the Chlor-alkali process
to produce chlorine gas.
• Coulomb (C): A coulomb is the S.I. unit for electric charge. An electron
has the charge of 1.6022 x 10-19 Coulombs.
• Ampere (A): The ampere is the S.I. unit for current. It is defined as
follows:
1Coulomb
1Ampere =
1second
1A = 1Cs−1
105
Step 1 : (NOTE TO SELF: step is deprecated, use westep instead.)
The cathode half reaction is:
Thus for every atom of Zinc deposited, 2 electrons are required. For
1 mole of zinc to be deposited, the number of electrons required is:
= Number of atoms in 1 mole of zinc x 2
= Avogadro’s No x 2 = 1.2044 x 1024 electrons.
Step 2 : (NOTE TO SELF: step is deprecated, use westep instead.)
The charge to be passed to deposit 1 mole of zinc is:
= 1.2044 x 1024 e-/mole Zn x Charge of one electron
= 1.2044 x 1024 e-/mole Zn x 1.6022 x 10−19 C/e-
= 1.9297 x 105 C
= 2 Farads (1 Farad = 9.6485 x 104 C)
106
= 1.9297 x 105 C/ mole Cl2
= 7200 s x 105 C
= 7.2 x 108 C
107
Properties Anode Cathode
Reduction / Oxidation Oxidation Reduction
Cations (K + or N a+ )
Anions (Cl− or SO42− )
migrate to cathode in
migrate to anode in
Ionic behaviour solution of cell:
solution of cell:
e.g. Cu2+ receives e−
e.g.Zn donates easily
from cathode
Electrons leave Electrons enter
Electron flow
(donated-dissolve) (deposits)
Charge (Voltaic cell) Negative Positive
Charge (Electrolytic cell) Positive Negative
108
Half-Reaction E0V
Li+ + e− Li -3.04
K + + e− K -2.92
Ba2+ + 2e− Ba -2.90
Ca2+ + 2e− Ca -2.87
N a+ + e − N a -2.71
M g 2+ + 2e− M g -2.37
M n2+ + 2e− M n -1.18
2H2O + 2e− H2 (g) + 2OH − -0.83
Zn2+ + 2e− Zn -0.76
Cr2+ + 2e− Cr -0.74
F e2+ + 2e− F e -0.44
Cr3+ + 3e− Cr -0.41
Cd2+ + 2e− Cd -0.40
Co2+ + 2e− Co -0.28
N i2+ + 2e− N i -0.25
Sn2+ + 2e− Sn -0.14
P b2+ + 2e− P b -0.13
F e3+ + 3e− F e -0.04
2H + + 2e− H2 (g) 0.00
S + 2H + + 2e− H2 S(g) 0.14
Sn4+ + 2e− Sn2+ 0.15
Cu2+ + e− Cu+ 0.16
SO42+ + 4H + + 2e− SO2 (g) + 2H2 O 0.17
Cu2+ + 2e− Cu 0.34
2H2 O + O2 + 4e− 4OH − 0.40
Cu+ + e− Cu 0.52
I2 + 2e− 2I − 0.54
O2 (g) + 2H + + 2e− H2 O2 0.68
F e3+ + e− F e2+ 0.77
N O3− + 2H + + e− N O2 (g) + H2 O 0.78
Hg 2+ + 2e− Hg(l) 0.78
Ag + + e− Ag 0.80
N O3− + 4H + + 3e− N O(g) + 2H2 O 0.96
Br2 + 2e− 2Br − 1.06
O2 (g) + 4H + + 4e− 2H2 O 1.23
M nO2 + 4H + + 2e− M n2+ + 2H2 O 1.28
Cr2 O72− + 14H + + 6e− 2Cr3+ + 7H2 O 1.33
Cl2 + 2e− 2Cl− 1.36
Au3+ + 3e− Au 1.50
M nO4− + 8H + + 5e− M n2+ + 4H2 O 1.52
Co3+ + e− Co2+ 1.82
109
F2 + 2e− 2F − 2.87
CHEMICAL SYSTEMS
110
Chapter 16
• Physical changes and energy transfers: The movement of water from the
ocean and land surfaces as controlled by energy in sunlight. Resevoirs for
water on earth.
111
Chapter 17
N N or N N
2
7 N )1S 2S 2 2P 3
With three covalent bonds the molecule is stable and therefore nitrogen is
not very reactive.
112
point (bp= −196o C) it is the first to boil off, it then cools and condenses and is
collected for storage. The liquid oxygen (bp= −183o C) and liquid argon (bp=
- 186o C) are left behind.
17.3 Ammonia (N H3 )
Ammonia is a gas which is lighter than air, has a characteristic smell which takes
one’s breath away and is highly soluble in water. It has a pyramidal structure
and is therefore a polar molecule.
(NOTE TO SELF: insert figure here)
N H3 + H2 O → N H4+ + OH −
Note: It is the OH − which causes the indicator to change colour.
113
N2 + 3H2 → 2N H3 + heat
• Catalyst: iron or iron oxide can be used to change the rate of the reaction,
not the amount of product formed.
17.3.3 Properties of N H3
N H3 is extremely soluble in water and ionizes to form an alkaline solution due
to the formation of OH − ions).
(Insert diagram 1)
An example of an ionization reaction:
N H3 + H2 0 → N H4+ + OH −
17.3.4 Uses of N H3
• Preparation of fertilizers like (N H4 )2 SO4 and urea
• In cooling installations
114
17.4 Ammonium Salts
An ammo-
17.4.1 Preparation of Ammonium Salts nium ion is
N H4+
Ammonium salts are formed when ammonia reacts with a strong acid. Below
are some examples of these reactions:
N H3 + HCl → N H4 Cl
N H3 + HN O3 → N H4 N O 3
N H3 + H2 SO4 → (N H4 )2 SO4
(Insert diagram no 2)
115
17.5.1 Laboratory Preparation:
The laboratory preparation of nitrogen dioxide involves the reaction of concen-
trated nitric acid (HN O3 ) with copper. The gas can be collected by the upward
displacement of air or by liquefying the gas at a low temperature.
(NOTE TO SELF: in the reaction below replace the arrow with an equilib-
rium arrow)
2N O2 → N2 O 4 + heat
dark brown light brown
Effect of change of temperature:
The forward reaction is exothermic, i.e. it releases heat, and the reverse
reaction is endothermic, i.e. it consumes heat. Heating favours both reactions,
but the endothermic reaction is favoured more (as the excess heat will be used
up). Therefore an increase in temperature will lead to the formation of more of
the reddish brown nitrogen dioxide.
Cooling slows down both reactions, but the endothermic reaction is slowed
down more. Therefore cooling favours the formation of more yellowy brown
N2 O 4 .
116
17.6.1 Laboratory preparation of HN O3 :
Nitric acid is prepared in the laboratory by the action of concentrated H2 SO4
on a nitrate.
N aN O3 + H2 SO4 → N aHSO4 + HN O3
• A stream of pure N H3 and filtered air are passed over heated platinum
gauze which is a contact catalyst. This occurs at about 800o C as the
reaction is very slow at room temperature.
N H4 OH → N H3 + H2 O
• The gases are cooled and led to absorption towers where the N O2 reacts
with H2 O.
117
This reaction takes place slowly at normal room temperature hence the
yellow-brown colour of the nitric acid. This is also the reason that nitric acid
is stored in brown bottles in the laboratory, the dark colour of the glass keeps
out the sunlight avoiding decomposition.
2N O + O2 → 2N O2
colourless reddish-brown
• Preparation of pigments.
• In the plastics industry nitric acid is used for the manafacture of basic
materials for the preparation of plastic articles.
17.7 Nitrates:
• All nitrates are soluble in water.
118
Chapter 18
119
Chapter 19
The Lithosphere:
Exploiting the Earth’s crust
(Grade 11)
120
Chapter 20
• Atmospheric chemistry
121
Chapter 21
122
Essay 1 : Synthetic Polymers
Author: Dean Govender
Synthetic Polymers
Scientists throughout the world are constantly developing and searching for
compounds or materials that will add value to our everyday lives. Synthetic
(laboratory-made or man-made) polymers have made the biggest inroad into our
modern day living and today polymer chemistry has given rise to a multibillion-
rand industry. Pens, plastic bottles, food wrap, clothes, photographic film and
toys are just some of the diverse items that are made from synthetic polymers.
What is a polymer? A polymer is a macromolecule (large molecule) that is
formed by linking together many monomers (smaller and identical molecules or
units). The process of linking these molecules together is called polymerisation.
Imagine joining together identical paperclips to form a long chain. The chain
would represent the polymer and each paperclip would represent the monomer.
Polyethylene, a type of plastic that has many uses, is an example of a simple
polymer. Ethylene (CH2=CH2) is the monomer that makes up the many re-
peating units of polyethylene [-CH2-CH2-]n (n is the number of times that the
monomer is repeated in the polymer).
The applications of polymers are endless and you can probably see these ap-
plications by exploring your house or shopping mall. Some of these applications
are listed below:
Consumer goods
Polyethylene, poly(vinyl chloride) and polypropylene are just some of the many
polymers that are used in the manufacture of everyday products such as film,
squeeze bottles and toys respectively. Packaging, food containers and hot drink
cups are made from polystyrene while Teflon provides non-stick surfaces for
dishes and clothes. Synthetic polymers are also used in the manufacture of car-
pets, blankets and clothing.
Medicine
In addition to artificial joints, heart valves and surgical gowns synthetic poly-
mers have also played a major role in tissue engineering.
Industry
Many of the parts found in trucks and cars are made from synthetic polymers.
Poly(vinyl chloride) is used in the fabrication of piping that is used extensively
in industry. Further, polymers have also been used in space shuttle nose cones
and in components found on aircrafts.
123
Sport
Synthetic polymers possess incredible strength and heat resistance and are used
in the manufacture of many types of sporting equipment such as tennis racquets
and hi-tech bicycles. Nylon is not only used in the clothing industry but is also
used to make fishing line and ropes. Kevlar is used in the manufacture of skis.
In addition, the strength of Kevlar is greater than steel and is used in bullet-
proof vests, flame-resistant clothing and helmets.
Sir Isaac Newton (a very famous scientist) once said, If I have seen further it
is by standing on the shoulders of giants. The pioneers of polymer chemistry and
their revolutionary work and discoveries paved the way for future scientists to
make many astonishing discoveries and inventions of their own. Today, polymer
chemistry has become a sophisticated science that designs macromolecules for
almost every conceivable use.
• 1909: Leo Baekeland becomes the first person to develop the first syn-
thetic plastic called Bakelite.
• 1920: During the late 1920s Wallace Carothers and a team of scientists
at the Du Pont company in America began to synthesise many polymers
including nylon.
Nowadays, making bigger and better polymers have become the norm. How-
ever, there are many scientists that have turned their attention to alleviating
environmental pollution. One such attempt is the production of polymers that
will degrade over time when subjected to ultraviolet light or when buried in the
soil.
The polymer industry generates huge turnovers in many countries and South
Africa is no exception. Sasol Polymers, a division of Sasols chemical business, is
South Africas leading producer of monomers and polymers. By 2006, Sasol Poly-
mers will be will be producing more than 1.5 million tons of polymers a year and
marketing these to a growing base of customers in Africa, Europe and Asia. The
124
two main polymer/monomer producing plants are based in Sasolburg and Se-
cunda and are responsible for the production of ethylene, propylene, low-density
polyethylene (LDPE), linear low-density polyethylene (LLDPE), polypropylene,
vinyl chloride monomer (VCM) and polyvinyl chloride (PVC), as well as other
miscellaneous chemicals.
Together with joint venture partners, Sasol Polymers manages investments in
two large plants in Malaysia and are currently developing an integrated ethylene
and polyethylene production facility in Iran. In order to remain cost-competitive
and consistently reliable, Sasol Polymers have invested substantially in upgrad-
ing their technologies, including their catalysts, and the manner in which they
modify and refine their polymerisation reactors. Further, they have setup a
Polymers Technology Centre, which will play a key role in demonstrating Sasol
Polymers drive for continuing improvement in product and service output. At
the centre, the polymers undergo several tests to determine their suitability
for certain end-products and conversion processes. In addition, the centre will
also help improve plant technology, operational efficiencies and new product
offerings.
Sasol Polymers is truly a remarkable company as many of their products
are utilised in a vast array of applications such as: woven cloth, furniture,
automotive components, domestic ware, cable sheathing for electrical, electronic
and telecommunication applications, cling wrap, personal-care products, floor
tiles, piping, credit cards, smart cards, computer housing, footwear, wallpaper,
blood and transfusion sets and many other applications.
The future of polymer chemistry is very promising. Perhaps one day you will
become a famous scientist that discovers a new material that will revolutionise
our lives!
Chapter Sections:
125
Appendix A
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