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Integrating marine historical ecology into management of Alaska’s Pacific cod fishery for climate readiness

The Pacific cod ( Gadus macrocephalus ) fishery was closed in 2020 after a rapid decline in biomass caused by the marine heat waves of 2014–2019. Pacific cod are exceptionally thermally sensitive and management of this fishery is now challenged by increasingly unpredictable climate conditions. Fisheries monitoring is critical for climate readiness, but short-term monitoring data may be inadequate for recognizing and anticipating change under rapid climate changes. We propose an interdisciplinary, marine historical ecology framework that looks to long-term records (local and traditional knowledge, history, archaeology, and paleoclimatology) to capture a long range of ecological variability and provide historical context for management. In order to connect to contemporary fisheries management, this framework must be built on a common vocabulary and an understanding of the key metrics used in fisheries stock assessments. Here, we propose metrics derived from Pacific cod stock assessment and synthesize information relevant to understanding the effects of past warming periods on cod populations across the Gulf of Alaska and Bering Sea. This case study provides a framework for thinking about how to use these historical records in the context of fisheries management under rapidly changing climate conditions.

Alaska

Geologic input databases for the 2025 Puerto Rico – U.S. Virgin Islands National Seismic Hazard Model update: Crustal faults component

The last National Seismic Hazard Model (NSHM) for Puerto Rico and the U.S. Virgin Islands (PRVI) was published in 2003. In advance of the 2025 PRVI NSHM update, we created three geologic input databases to summarize new onshore and offshore fault source information in the northern Caribbean region between 62°–70° W and 16°–21° N. These databases, of fault sections, fault‐zone polygons, and geologic estimates of fault activity (fault‐slip rate and earthquake recurrence intervals) at specific sites, document updates to fault parameters used in prior seismic hazard models in PRVI. Fault sources were reviewed from published studies since 2003, which document substantial changes to the understanding of fault location, geometry, or activity. New fault section sources were added for features that meet the criteria of (1) length ≥7 km, (2) unequivocal evidence of recurrent tectonic Quaternary activity, and (3) documentation that is publicly available in a peer‐reviewed source. In addition, we revised several broad areal sources, such as the Mona and Anegada extensional zones. The 2003 model included three fault sections and two fault‐zone polygons (areal sources). These databases include 35 fault sections, 6 fault‐zone polygons, and 51 earthquake geology sites. To characterize fault activity rates, slip‐rate bins were assigned based on landscape expression and paleoseismic trench observations for faults without published slip‐rate sites. Additional fault sources were evaluated but not included in these databases due to a lack of published information about fault location, geometry, or recurrent Quaternary activity. The PRVI NSHM 2025 geologic input databases describe crustal faulting; the geometries and coupling of Puerto Rico subduction zone and Muertos Trough models are considered in a separate database. Updates to the fault sections, fault‐zone polygons, and earthquake geology databases can help inform the location and recurrence rate of damaging earthquakes in the PRVI NSHM implementation.

Puerto Rico, U.S. Virgin Islands

Continental-scale prediction of hydrologic signatures and processes

Understanding how dominant hydrologic processes and their drivers vary across diverse continental-scale landscapes is critical for hydrologic modeling and water management applications. Our research addresses this question by synthesizing large-sample watershed datasets, Caravan and GAGES-II, and developing random forest models to identify patterns in hydrologic function. We assessed dominant processes by examining hydrologic signatures – summary indicators of watershed function derived from hydroclimatic time series and random forest models across 14 146 gauged United States watersheds. The results reveal clear continental-scale gradients in hydrologic processes, including baseflow, overland flow, storage, and water balance losses. Our map of dominant processes highlights, for example, the transition from baseflow to fast responses and back to baseflow along the elevation gradient from the Appalachian spine, through the Piedmont, to the Eastern Coastal Plain; a distinct outer ring around the Great Lakes region; and sharp contrasts between coastal and inland processes in the West. Variable importance analysis from random forest models show that processes in the western U.S. are primarily controlled by climate, whereas in the eastern U.S., soil, geology, and topography play larger roles, with distinct human influences apparent in urban areas. Our approach of estimating dominant processes and their drivers facilitates extending process knowledge from research watersheds to the continental scale, assessing current hydrological understanding, and evaluating hydrological model structures.

conterminous United States

A multidisciplinary approach that considers occurrence, geochemistry, bioavailability, and toxicity to prioritize critical minerals for environmental research

Critical minerals (or critical elements) are minerals or elements that are essential to global security and development and have supply chains vulnerable to disruption. In general, knowledge of the environmental behavior and health effects of critical elements is needed to support the development of safe and environmentally responsible supplies. This knowledge includes identifying potential consequences of increased critical element production and use, alternative critical element sources such as mine wastes, and adverse effects of critical elements on ecosystem condition and organismal health. Here we identify significant data gaps in the understanding of critical elements in surficial and aquatic environments, and the need, given the large number of commodities (50) identified on the 2022 critical minerals list for the United States, for an approach to prioritize them for study of their environmental fate and effects. We propose a multidisciplinary approach for this prioritization, considering measures of occurrence, geochemistry, bioavailability, and toxicity. We describe relatively easy-to-obtain metrics for each of these topic areas and demonstrate the utility of this integrated prioritization approach using indium and zinc as examples. This approach facilitates prioritizing research with a focus on those critical elements that are most mobile in the environment, bioavailable, toxic, or simply lacking data in these categories.

Environmental Science & Technology

Ground-motion characterization for the 2025 U.S. National Seismic Hazard Model for Puerto Rico and the U.S. Virgin Islands

We develop the ground-motion characterization (GMC) for the 2025 U.S. National Seismic Hazard Model for Puerto Rico and the U.S. Virgin Islands (NSHM-PRVI) for earthquakes in active crustal, subduction interface, and subduction intraslab regimes. Using ground-motion models (GMMs) from the Next-Generation Attenuation (NGA)-West2 and NGA-Subduction projects, the GMC is parameterized by scaled-backbone models for median ground motions and by independent logic trees of aleatory variability. We introduce several novel GMC features into the U.S. NSHM: (1) use of regional ground-motion data for modeling median ground motions; (2) development of scaled-backbone models for median ground motions; and (3) development of independent logic trees of aleatory variability from variance components of GMMs and computed from multiple ground-motion datasets, and incorporating regional ground-motion data effects on variability. We compute probabilistic seismic hazard curves and maps to evaluate the contributions from the GMC components and for comparison with the 2003 GMC. Contributions of the GMC to epistemic uncertainty in seismic hazard are evaluated through spatial variations in epistemic uncertainty in hazard maps, comparisons between mean hazard curves and fractiles, as well as investigations of the contributions of logic-tree branches to hazard maps and curves. Comparisons between seismic hazard from the 2025 and 2003 GMCs allow examination of the changes in hazard curves and mapped values with 2% and 10% probabilities of exceedance in 50 years. The 2025 GMC exhibits modest changes in median predictions, relative to the 2003 GMC; overall, values of aleatory variability are higher, except at long periods ( ), resulting in changes to probabilistic ground motions at low probabilities of exceedance (<10% probability of exceedance in 50 years). Changes in hazard at 2% and 10% probabilities of exceedance in 50 years are also relatively modest (within 20%) at most sites, with the impacts from the 2025 GMC exhibiting minor reductions and increases at 0.2 and 1.0 s periods, respectively, relative to the 2003 GMC.

Puerto Rico, U.S. Virgin Islands

Predictions of anthropogenic background PFAS concentrations in soil and relation to bedrock lithology and groundwater quality

Detectable concentrations of per- and polyfluoroalkyl substances (PFAS) have been observed in soils in remote areas and presumably originate from atmospheric deposition. These anthropogenic background concentrations may enable some PFAS to leach to groundwater at levels that exceed regulatory criteria for drinking water. However, anthropogenic background soil concentrations and their connection to groundwater are not well characterized. We developed a boosted regression tree model to predict perfluorooctanesulfonic acid (PFOS) and perfluorooctanoic acid (PFOA) concentrations in shallow soils across northern New England. Low soil pH was the most important predictor of elevated anthropogenic PFOS and PFOA concentrations in background soils, rather than potential PFAS sources, land use, or population density. Total organic carbon (TOC) was also an important predictor for PFOS soil concentrations. Model predictions indicate that 73% of the shallow soils within Maine, Vermont, and New Hampshire exceed New Hampshire’s Soil Remediation Standard for PFOS (0.5 ng/g) and 41% exceed the PFOA standard (0.4 ng/g). Analysis of soil model results and groundwater data suggests that areas with high soil pH are associated with higher groundwater detection frequencies, illustrating how areas with less retention in soil are, conversely, also areas with potentially greater groundwater vulnerability. Further analysis indicates that groundwater may be more vulnerable in calcareous lithologies.

Maine, New Hampshire, Vermont

Integrating habitat suitability and climate constraints to predict nonnative fish invasion risk for U.S. streams and inland lakes

Introduction: Nonnative fishes in streams and inland lakes can substantially alter aquatic ecosystems by degrading habitat conditions, competing with native species, and restructuring food webs. Identifying invasion hotspots can inform proactive management and prevention of nonnative species establishment. Methods: In this study, we identified streams and lakes across the conterminous United States that are vulnerable to invasion by 18 nonnative stream and 28 nonnative lake fish species. Habitat suitability models were developed separately for stream and lake species across nine ecoregions using natural and anthropogenic predictors, and species occurrences were predicted by integrating model results with climate match scores based on comparisons between environmental conditions in species’ native and potential nonnative ranges. We classified areas with both high habitat suitability and strong climate similarity as having high invasion potential and generated hotspot maps by stacking species-level predictions. Results: Florida exhibits the highest invasion risk for both habitat types. Stream hotspots were concentrated near major metropolitan areas, whereas lake hotspots were more widely distributed across the Great Lakes basin and the northeastern U.S. Twelve species were predicted to invade both habitat types, with goldfish ( Carassius auratus ) and pirapitinga ( Piaractus brachypomus ) showing particularly high invasion potential. Discussion: These findings provide a comprehensive assessment of nonnative freshwater fish invasion risk and support targeted monitoring and management strategies.

conterminous United States

Resurvey of the Marble Canyon and Bridge Canyon dam sites in Grand Canyon National Park—Changes in sediment storage and evidence supporting the occurrence of bedrock incision through the mid-20th century

The Bureau of Reclamation developed an extensive plan for a network of dams, water tunnels, and hydropower plants in and around Grand Canyon, Arizona, in the 1940s through 1960s. The two largest of these planned dams were the Marble Canyon and Bridge Canyon Dams on the Colorado River. Though these dams were ultimately never built, Reclamation conducted extensive topographic, bathymetric, and subsurface exploration work at the sites proposed for these dams in the 1940s and 1950s. Resurveys of these dam sites were conducted between 1998 and 2021 to determine the changes in sediment storage at these dam sites caused by the upstream construction and operation of Glen Canyon Dam and by the recession of Lake Mead, the reservoir impounded by Hoover Dam. The resurveys of the Marble Canyon dam sites indicate that the post-1950s changes in sediment storage at these dam sites are broadly consistent with flux-based estimates of voluminous sand erosion from Marble Canyon since the 1963 closure of Glen Canyon Dam. These resurveys also suggest that the pre-dam longitudinal variation in sediment thickness over bedrock played a key role in determining the locations of the sand erosion induced by Glen Canyon Dam; more sand eroded from locations where more sand was present in the 1950s. The resurvey of the Bridge Canyon dam sites indicates that the Colorado River’s incision of the Lake Mead delta is regulated both by bed-sediment grain size and downstream hydraulic controls. Finally, analyses of bed-sediment thickness and sedimentological data at the dam sites, and observations of bed scour and gravel transport, suggest that sufficient bedrock was exposed to allow bedrock incision during commonly recurring pre-dam snowmelt floods that entrained small boulders into transport.

Arizona

Magnetic storms and geoelectric hazards

Magnetic storms induce geoelectric fields at Earth's surface that can interfere with grounded long-line systems. The September 1859 storm disrupted global telegraph operations, the March 1989 storm caused a blackout in Canada and interfered with electric-power-transmission systems in the United States, and other storms have had related impacts. The geographic and temporal dependence of geoelectric fields are functions of both geomagnetic variation and local surface impedance, which differ considerably across different geological regions. These dependencies can be mapped across the contiguous United States by combining magnetotelluric impedance tensors with ground magnetometer time series. This review illustrates such mapping for the 1989 storm and shows that power-system interference was experienced where surface impedance is high, and when and where geoelectric fields were intense. Statistical analyses indicate that storms comparable to that of March 1989 occur roughly once every four solar cycles. Ongoing developments in numerical modeling and real-time monitoring are anticipated to enable prediction of geoelectric hazards. ▪ Magnetic storms can induced electric fields in the solid Earth that interfere with electric-power-transmission systems. ▪ Geoelectric hazards depend on the storm-time geomagnetic disturbance and the electrical conductivity structure of Earth. ▪ Historically, impacts on telecommunication and power-transmission systems in the United States have been concentrated in the East and Midwest. ▪ The future occurrence of a magnetic superstorm could cause widespread disruption of electric-power-transmission systems.

Annual Review of Earth and Planetary Sciences

Framework for implementing damping scaling factors in U.S. Geological Survey National Seismic Hazard Models

Traditionally, probabilistic seismic hazard analysis (PSHA) has focused on calculating ground motion hazard curves for elastic, 5%-damped pseudo spectral accelerations, Sa(T,5%), which are used as the basis for engineering design parameters and targets for ground motion selection and modification. However, structures and geotechnical systems can exhibit a wide range of damping ratios both above and below the 5% level, depending on the construction material, structural system, nonstructural elements, or subsurface soil properties. When spectral parameters at such damping levels are required for certain applications, 5%-damped accelerations have traditionally been extracted from PSHA-based hazard curves and adjusted outside of the hazard integral using damping scaling factors (DSF) such as those from Newmark & Hall (1982). Recent advances in the development of more rigorous and comprehensive damping scaling models (e.g., Rezaeian et al., 2014; Rezaeian et al., 2021) have allowed for the modeling of means and standard deviations of DSFs as functions of earthquake source and path properties for crustal, intraslab, and subduction interface tectonic environments. These DSF models can be applied to ground motion model (GMM) estimates of Sa(T,5%) for a given earthquake rupture scenario to produce a corresponding mean and standard deviation Sa at a specified damping ratio β, Sa(T,β). In this study, the DSF models of Rezaeian et al. (2014) and Rezaeian et al. (2021) are implemented within the U.S. Geological Survey National Seismic Hazard Model (NSHM) PSHA framework to calculate probabilistic hazard curves for spectral accelerations at damping ratios from 0.5% to 30%. The DSF models are applied directly to the mean and standard deviation of Sa(T,5%) predictions from each GMM in the NSHM logic tree. Resulting hazard curves and uniform hazard and risk spectra for Sa(T,β) are presented for several geographic locations and compared with corresponding spectra estimated using current design practices by applying the same DSFs outside of the PSHA calculation. Key differences between the two methods for estimating Sa(T,β) are discussed, and potential strategies are presented for the implementation and usage of the hazard-consistent Sa(T,β) in building codes. Comparing the results to those from DSFs used in current design practices that are mainly based on Newmark & Hall (1982) is not explored in this study.

Conference Paper

‘The fish that stop’: Drivers of historical decline for Pacific cod and implications for modern management in an era of rapidly changing climate

n the Gulf of Alaska, a series of marine heat waves depleted Pacific cod ( Gadus macrocephalus ) biomass to the lowest abundance ever recorded and led to the fishery’s closure in 2020. Although the fishery has been productive for decades, this collapse may have historical precedents. Traditional knowledge holders refer to cod as ‘the fish that stop’, and there is a suggested period of decline in the 1930s. Here we conduct a catch reconstruction of the early commercial fishery (1864–1950), confirming a rapid catch decline in the 1920s and 1930s. Next, we evaluate evidence for possible drivers. We document changes to demand and technology that contributed to declining catch. However, we also find both qualitative and quantitative evidence of depletion, suggesting catch declines were not driven entirely by social factors. Overfishing may have contributed to localized catch declines as evidenced by declining catch rates in heavily fished localities. We also find evidence for climate as a driver of regional decline, with the period of catch decline characterized by up to 2°C higher temperatures as compared to the earlier period of high fisheries production. Our analysis underscores the importance of understanding long-term drivers of fisheries productivity and the value of linking fisheries and climate histories.

Alaska

Assessing locations susceptible to shallow landslide initiation during prolonged intense rainfall in the Lares, Utuado, and Naranjito municipalities of Puerto Rico

Hurricane Maria induced about 70 000 landslides throughout Puerto Rico, USA, including thousands each in three municipalities situated in Puerto Rico's rugged Cordillera Central range. By combining a nonlinear soil-depth model, presumed wettest-case pore pressures, and quasi-three-dimensional (3D) slope-stability analysis, we developed a landslide susceptibility map that has very good performance and continuous susceptibility zones having smooth, buffered boundaries. Our landslide susceptibility map enables assessment of potential ground-failure locations and their use as landslide sources in a companion assessment of inundation and debris-flow runout. The quasi-3D factor of safety, F 3 , showed strong inverse correlation to landslide density (high density at low F 3 ). Area under the curve (AUC) of true positive rate (TPR) versus false positive rate (FPR) indicated success of F 3 in identifying head-scarp points (AUC = 0.84) and source-area polygons (0.85 ≤ AUC ≤ 0.88). The susceptibility zones enclose specific percentages of observed landslides. Thus, zone boundaries use successive F 3 levels for increasing TPR of landslide head-scarp points, with zones bounded by F 3 at TPR = 0.75, very high; F 3 at TPR = 0.90, high; and the remainder moderate to low. The very high susceptibility zone, with 118 landslides km −2 , covered 23 % of the three municipalities. The high zone (51 landslides km −2 ) covered another 10 %.

Puerto Rice

Ambient flow and transport in long-screened, sand-packed wells: Insights into cross contamination and wellbore flow

The presence of long-screened wells with a surrounding sand pack can have a major effect on the redistribution of contaminants in groundwater, particularly when the wells are set in low-hydraulic conductivity aquifers. Such redistribution, or cross contamination, can occur through vertical flow and advective transport or by in-well mixing via multiple non-advective transport processes. A multi-method approach, including the use of single borehole dilution tracer (SBDT) logging, was undertaken to estimate vertical transport of trichloroethylene (TCE) in 8 discontinued remedial extraction wells, all constructed with long screens (100 ft, or 30.6 m long) and surrounding sand packs, at Site 25, Edwards Air Force Base, California. The site is within an enclosed drainage basin that is underlain primarily by quartz-monzonite-granitic rocks in various states of weathering. Prior to this study, little information was available on the depths of fracture zones intersecting the wellbores. Results indicate that because of in-well mixing processes, a potential redistribution of TCE of up to 9 g/d per well occurs as a consequence of leaving the wells inactive (unpumped) and unsealed, as measured by SBDT logging. Simulations of flow made with a generic model of the site show that if the wells were to be sealed with well liners, with the intent of reducing vertical TCE transport but the sand pack left intact, TCE transport decreases by 53% overall compared to leaving the wells unlined.

Environmental Earth Sciences

An improved empirical model for predicting postfire debris-flow volume in the western United States

Reliable estimates of debris-flow volume can be used to help predict the magnitude of debris-flow hazards following wildfire in the western United States. In this study, we compiled and used a database of 227 postfire debris-flow volumes that were collected across the western United States to develop a multiple linear regression model for predicting postfire debris-flow volume. We explored 36 predictor variables related to rainfall, terrain, and fire characteristics, and selected the model with the combination of variables that yielded the most accurate predictions of debris-flow volume. We evaluated model performance against the entire volume database, as well as against four subsets of volume data from southern California, the Intermountain West, the Southwest, and regions with limited volume data, such as northern California and Washington. We also compared model performance against 3 existing postfire debris-flow volume models that were developed for use in southern California, the Intermountain West, and the Southwest. We demonstrate that the new volume model performs as well as the regional models in the regions for which they were developed and outperforms existing models when applied to volumes from data-limited regions in the western United States. These results indicate that the debris-flow volume model introduced in this study can be used to improve postfire hazard assessments across the western United States, especially outside of southern California.

Arizona, California, Colorado, New Mexico, Utah, W

An exploration of the relative influence of physical models for Omori’s law

Omori’s law states that the rate of aftershocks decays as a function of inverse time. There are multiple physical explanations that we reduce into a nonlinear mixed effects relation of three terms: (1) a Rate/State expression that can account for static/dynamic and viscoelastic triggering caused directly by the mainshock, (2) a fluid diffusion triggering term, and (3) a randomized secondary triggering (cascade) term. We fit free physical-model parameters to an observed aftershock sequence through two nonlinear regression methods to find the relative contributions of physics-based models in an observed aftershock sequence. Results from both methods show that Rate/State models overpredict aftershock rates by ∼0–30%. Secondary aftershocks cause a net negative contribution (seismicity rate reduction that corrects overprediction by other terms) ranging between ∼0 and 30%. All regression solutions yield negative secondary triggering contributions without being guided to do so. A physical explanation for this is that aftershock occurrence relieves stress from the crust, ultimately causing the sequence to extinguish itself. Fluid diffusion triggering contributions range from ∼0 to 20%. Diffusion processes are observed to be shorter in time than the full duration of an aftershock sequence and they are also spatially limited, diminishing their influence. Our results apply to an aftershock decay curve from the 2016 Central Apennines earthquake sequence, meaning that our specific results may not be general. Our primary conclusion is that any one physical model cannot alone fit the observed sequence as well as the combination of three we investigated.

Frontiers in Earth Science

Evaluating the effects of a multi-modal deterrent on upstream passage by invasive carp and native species

Invasive carp, including Silver Carp ( Hypophthalmichthys molitrix ) and Grass Carp ( Ctenopharyngodon idella ), are increasing their range within the Mississippi River Basin, threatening native fishes and ecosystem function. We conducted a 3-year field test of a multi-modal deterrent that uses sound, bubbles, and light to test its ability to impede upstream passage by invasive carp. The test was performed at a lock and dam on the Cumberland River, Kentucky, USA, using acoustic telemetry to track the movements of Silver Carp, Grass Carp, and several native fish species. When the deterrent was operating, the estimated probability of upstream lock passage was 53% lower (95% CI: 41%–63%) for Silver Carp but 74% higher (95% CI: 3%–190%) for Grass Carp compared to times when the deterrent was not operating. Paddlefish ( Polyodon spathula ) passage was reduced by 43% (95% CI: 71% reduction to 9% increase), although this was not statistically significant. We detected no significant effects on Freshwater Drum ( Aplodinotus grunniens ) or Smallmouth Buffalo ( Ictiobus bubalus ). However, sample sizes were small for these native species, limiting our ability to identify effects. Water temperature, tailwater elevation, and vessel lockages affected passage rates, although this varied among species.

Kentucky

A review of post-wildfire adaptations of surface-water-quality models: Synthesis, gaps, and opportunities

As wildfires increasingly affect water-supply watersheds, the demand for models to predict water-quality responses is increasing. This work reviews and synthesizes existing post-wildfire applications of water-quality models in the context of geographic and ecohydrological distribution, hydrologic and water-quality response process representation, model parameterization, model and input data scales, model calibration data availability, as well as calibration and performance evaluation approaches. Emphasis is placed on models that simulate water-quality output, rather than sediment and erosional response as the primary focus. Here, identified gaps and opportunities to advance the post-wildfire application of water-quality models include: 1. applying models in under-represented geographic and ecohydrologic regions, 2. simulating multiple streamflow generation mechanisms, including groundwater, with an emphasis on shifting dominant flow pathways as the landscape recovers following wildfire, 3. adding studies that include the simulation of metals, 4. incorporating more biogeochemical and in-stream processes to model applications, 5. applying finer spatial and temporal resolution of precipitation data input as well as finer spatial resolution hydrologic response units, 6. implementing fully distributed grid or element models or finer resolution response units to capture burn severity heterogeneity, 7. collecting enhanced water-quality data for model calibration and validation, 8. conducting model-intercomparison studies, and 9. developing model parameter value guidance in post-wildfire applications. These identified gaps and opportunities may assist users in deciding on key processes and approaches to consider in modeling post-wildfire water-quality conditions.

Science of the Total Environment

Dynamic drainage reorganization in Eastern Tibet: Insights from the Yangtze River first bend

The modern drainage network of eastern Tibet is widely believed to have developed through a series of river capture and flow reversal events; however, the timing and mechanisms driving this reorganization remain contentious. Among these events, the river capture that formed the First Bend of the Yangtze River (YFB) stands out as both iconic and particularly debated. Here we present sedimentary provenance data from the Late Miocene–Quaternary Dali Basin, located south of the YFB, which indicate that a southward-flowing Jinsha River (i.e., the present-day upper Yangtze River) sourced sediment to the Dali basin at ∼7.4–6.4 Ma in a drainage configuration different from that of today. Because this interval postdates the initial establishment of a near-modern Jinsha River system prior to the Miocene, our results imply at least two discrete fluvial reorganizations occurred at the YFB—one preceding ∼7.4 Ma and another following ∼6.4 Ma. By integrating these findings with landscape evolution modeling, we infer that the initiation of rapid uplift of the Yulong-Haba Mountains and the Diancang Shan may have been responsible for these drainage reorganizations. These results underscore that Cenozoic drainage systems on the eastern Tibetan Plateau have evolved dynamically on a short timescale of ∼10 5 –10 6 -year, rather than remaining in a long-term stationary configuration on ∼10 7 -year timescales.

eastern Tibetan Plateau, first bend of the Yangtze