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At least 199 records · Page 11Linked to original sources

Measuring streamflow under ice conditions

Effects of ice formation on stage discharge relations; occurrence and effect of surface, frazil, and anchor ice is described and recorder graphs registering these effects are shown; one investigation of siphon action is detailed; factors affecting accuracy of ice-affected records.

Journal of the Hydraulics Division

Effectiveness of a fish ladder for two Neotropical migratory species in the Paraná River

We evaluated fish ladder effectiveness at Porto Primavera Dam in the Upper Paraná River, for two Neotropical migratory fish species. Overall, 564 fish (448 Megaleporinus obtusidens and 116 M. piavussu ) were PIT-tagged, released in upstream and downstream areas (on the left and right banks), and monitored continuously for 4 years. The fish performed two-way movements through the fish ladder, ascending from the tailrace and descending from the forebay. We registered 46 M. obtusidens (10.3%) and only 3 M. piavussu (2.6%) from the fish ladder, therefore all analyses were focused on M. obstusidens . Entry proportion ranged from 0 to 48.1% depending on release site and was greatest for fish released downstream near the fish ladder entrance. Entry times ranged from 3.0 to 384.0 days, and median times were 32.9 and 25.8 days for downstream and upstream, respectively. Of fish that entered the fish ladder, passage percentages were 80% for fish release downstream and 100% for fish released upstream, and median transit time was 0.7 and 0.9 hours, respectively. Results suggest that if guidance and entry conditions can be improved, this fish ladder design holds promise as an effective solution for providing passage in both directions.

Marine and Freshwater Research

Analyzing vegetation dynamics of land systems with satellite data

Large area assessment of vegetation conditions is a major requirement for understanding the impact of weather on food, fiber, and forage production. The distribution of vegetation is largely associated with climate, terrain characteristics, and human activity. The interpretation of vegetation dynamics from satellite data can be improved by stratifying the land surface into ecoregions. The Soil Conservation Service, U.S. Department of Agriculture, has developed a system for mapping major land resource areas (MLRA) that groups land areas in the United States on the basis of climate, physiography, land use, and land cover characteristics. In 1989, the U.S. Geological Survey used National Oceanic and Atmospheric Administration weather satellite data to conduct a biweekly assessment of vegetation conditions in 17 western states. Advanced Very High Resolution Radiometer data were acquired daily, and were geographically registered, and the normalized difference vegetation index (NDVI) was computed for the Western United States during the 1989 growing season. Fifteen biweekly NDVI data sets were used to evaluate MLRA's as an appropriate stratification for monitoring and interpreting vegetation conditions in the study area. The results demonstrate the feasibility of using MLRA's to stratify areas for monitoring phenological development and vegetation condition assessment within the growing season. Assessments of the NDVI at biweekly intervals are adequate for monitoring seasonal growth patterns on MLRA's where rangelands, forests, or cultivated agriculture are the primary resource type. Descriptive statistics are indicators of the uniformity or diversity of land use and land cover within an MLRA. Growing season profiles of the NDVI are characterized by the seasonal effects of climate on various land use and land cover classes.

Geocarto International

Characterizing 6 August 2007 Crandall Canyon mine collapse from ALOS PALSAR InSAR

We used ALOS InSAR images to study land surface deformation over the Crandall Canyon mine in Utah, which collapsed on 6 August 2007 and killed six miners. The collapse was registered as a ML 3.9 seismic event. An InSAR image spanning the time of the collapse shows 25–30 cm surface subsidence over the mine. We used distributed dislocation sources to model the deformation field, and found that a collapse source model alone does not adequately fit the deformation field. Normal faulting is also required, such that the event is best characterized as a ‘trapdoor’ collapse. The calculated moment of the normal fault is about the same as the moment of the collapse source, with each larger than the seismically computed moment. Our InSAR results, including the location of the event, the extent of the collapsed area, and constraints on the shearing component of the deformation source, all confirm and extend recent seismic studies of the 6 August 2007 event.

Utah

Point clouds of bridge generated by terrestrial laser scanner and images via Structure from Motion technique: Comparison study

A collection of points representing an object in space is commonly called a point cloud. There are several techniques for collecting point clouds. This research is focused on a comparison study of two approaches: (1) collecting point clouds with a surveying grade terrestrial laser scanner (TLS) and (2) generating point clouds from drone-taken still images by utilizing Structure-from-Motion (SFM) technique. The paper's main objective is to compare the generated point clouds to each other and show the advantages and disadvantages of both techniques for structural health monitoring of bridges. To achieve the goal of the paper, we selected a pedestrian bridge for a comparison study. For simplicity, the study was limited to a single-span bridge. The bridge we studied is a composite steel and reinforced concrete (RC) bridge with a curved deck. A terrestrial laser scanner was used to scan the bridge from several positions, and point clouds were registered based on point-cloud to point-cloud matching. No targets were used during the collection of the point clouds by the laser scanner. In addition, still images of both bridges were taken by a drone. Based on a quantitative comparison of the results, the paper discusses the pros and cons of both approaches.

California

Remote sensing with simulated unmanned aircraft imagery for precision agriculture applications

An important application of unmanned aircraft systems (UAS) may be remote-sensing for precision agriculture, because of its ability to acquire images with very small pixel sizes from low altitude flights. The objective of this study was to compare information obtained from two different pixel sizes, one about a meter (the size of a small vegetation plot) and one about a millimeter. Cereal rye (Secale cereale) was planted at the Beltsville Agricultural Research Center for a winter cover crop with fall and spring fertilizer applications, which produced differences in biomass and leaf chlorophyll content. UAS imagery was simulated by placing a Fuji IS-Pro UVIR digital camera at 3-m height looking nadir. An external UV-IR cut filter was used to acquire true-color images; an external red cut filter was used to obtain color-infrared-like images with bands at near-infrared, green, and blue wavelengths. Plot-scale Green Normalized Difference Vegetation Index was correlated with dry aboveground biomass ( ${mbi {r}} = 0.58$ ), whereas the Triangular Greenness Index (TGI) was not correlated with chlorophyll content. We used the SamplePoint program to select 100 pixels systematically; we visually identified the cover type and acquired the digital numbers. The number of rye pixels in each image was better correlated with biomass ( ${mbi {r}} = 0.73$ ), and the average TGI from only leaf pixels was negatively correlated with chlorophyll content ( ${mbi {r}} = -0.72$ ). Thus, better information for crop requirements may be obtained using very small pixel sizes, but new algorithms based on computer vision are needed for analysis. It may not be necessary to geospatially register large numbers of photographs with very small pixel sizes. Instead, images could be analyzed as single plots along field transects.

IEEE Journal of Selected Topics in Applied Earth O

Examining differences between recovered and declining endangered species

Between 1973 and 1999, 43 species in the United States were reclassified from endangered to threatened or removed entirely from the Endangered Species List. Of these, 23 were identified as recovered. In 1999 the U.S. Fish and Wildlife Service ( USFWS) published a list of 33 additional species for possible reclassification and/or delisting. We initiated this study to examine why some endangered species recover but others continue to decline and to identify differences in management activities between these two groups. We defined recovered/recovering species as previously recovered species and the additional recovered/recovering species listed by the USFWS. We defined declining species as those identified as declining in the most recent USFWS Report to Congress. Information on recovered/recovering and declining species was gathered from relevant literature, recovery plans, U.S. Federal Register documents, and individuals responsible for the recovery management of each species. We used this information to examine (1) the percentage of current and historic range covered by management activities; (2) threats affecting the species; (3) population sizes at the time of listing; (4) current versus historic range size; and (5) percentage of recovery management objectives completed. Although few statistical analyses provided significant results, those that did suggest the following differences between recovered/recovering and declining species: (1) recovered/recovering species face threats that are easier to address; (2) recovered/recovering species occupy a greater percentage of their historic range; and (3) recovered/recovering species have a greater percentage of their recovery management objectives completed. Those species with threats easier to address and that occupy a greater percentage of their historic range are recovered/recovering. In contrast, declining species face threats more difficult to address and occupy significantly less of their historic range. If this remains true, future species recovery may require more time and resources.

Conservation Biology

Optical data processing and projected applications of the ERTS-1 imagery covering the 1973 Mississippi River Valley floods

Flooding along the Mississippi River and some of its tributaries was detected by the multispectral scanner (MSS) on the Earth Resources Technology Satellite (ERTS-1) on at least three orbits during the spring of 1973. The ERTS data provided the first opportunity for mapping the regional extent of flooding at the time of the imagery. Special optical data processing techniques were used to produce a variety of multispectral color composites enhancing flood-plain details. One of these, a 2-color composite of near infrared bands 6 and 7, was enlarged and registered to 1:250,000-scale topographic maps and used as the basis for preparation of flood image maps. Two specially filtered 3-color composites of MSS bands 5, 6, and 7 and 4, 5, and 7 were prepared to aid in the interpretation of the data. The extent of the flooding was vividly depicted on a single image by 2-color temporal composites produced on the additive-color viewer using band 7 flood data superimposed on pre-flood band 7 images. On May 24, when the floodwaters at St. Louis receded to bankfull stage, imagery was again obtained by ERTS. Analysis of temporal data composites of the pre-flood and post-flood band 7 images indicate that changes in surface reflectance characteristics caused by the flooding can be delineated, thus making it possible to map the overall area flooded without the necessity of a real-time system to track and image the peak flood waves. Regional planning and disaster relief agencies such as the Corps of Engineers, Office of Emergency Preparedness, Soil Conservation Service, interstate river basin commissions and state agencies, as well as private lending and insurance institutions, have indicated strong potential applications for ERTS image-maps of flood-prone areas.

Mississippi River

Age-specific vibrissae growth rates: a tool for determining the timing of ecologically important events in Steller sea lions

Steller sea lions (SSL; Eumetopias jubatus ) grow their vibrissae continually, providing a multiyear record suitable for ecological and physiological studies based on stable isotopes. An accurate age-specific vibrissae growth rate is essential for registering a chronology along the length of the record, and for interpreting the timing of ecologically important events. We utilized four methods to estimate the growth rate of vibrissae in fetal, rookery pup, young-of-the-year (YOY), yearling, subadult, and adult SSL. The majority of vibrissae were collected from SSL live-captured in Alaska and Russia between 2000 and 2013 ( n = 1,115), however, vibrissae were also collected from six adult SSL found dead on haul-outs and rookeries during field excursions to increase the sample size of this underrepresented age group. Growth rates of vibrissae were generally slower in adult (0.44 ± 0.15 cm/mo) and subadult (0.61 ± 0.10 cm/mo) SSL than in YOY (0.87 ± 0.28 cm/mo) and fetal (0.73 ± 0.05 cm/mo) animals, but there was high individual variability in these growth rates within each age group. Some variability in vibrissae growth rates was attributed to the somatic growth rate of YOY sea lions between capture events ( P = 0.014, r 2 = 0.206, n = 29).

Marine Mammal Science

Unravelling a 2300 year long sedimentary record of megathrust and intraslab earthquakes in proglacial Skilak Lake, south-central Alaska

Seismic hazards in subduction settings typically arise from megathrust, intraslab and crustal earthquake sources. Despite the frequent occurrence of intraslab earthquakes in subduction zones and their potential threat to communities, their long-term recurrence behaviour is barely studied. Sedimentary sequences in lakes may register ground shaking from different seismic sources. This study investigates two long sediment cores (13 m and 16 m) from Skilak Lake, a proglacial lake in south-central Alaska, to evaluate whether different seismic sources leave a distinct imprint. The sedimentary record shows a continuously varved sediment sequence, occasionally interrupted by turbidites, slump deposits and tephra beds. Turbidites and slump deposits were objectively identified using a statistical outlier analysis on varve thickness. The earthquake origin of these deposits was ascertained by resemblance with deposits induced by instrumentally recorded earthquakes (for example, 1964 ce M w 9.2 megathrust and 1954 ce M w 6.4 intraslab earthquakes) and correlation with multiple coeval landslide deposits on sub-bottom profiles. The Skilak Lake record chronicles 19 earthquakes with moderate to very high confidence level in the past 1350 years. The sedimentary evidence of instrumentally-recorded intraslab and megathrust earthquakes within the past 70 years demonstrates that not only megathrust earthquakes, but also past intraslab events are recorded. Although reported seismic intensities at Skilak Lake are comparable for the 1964 ce megathrust and the 1954 ce intraslab earthquakes, the long duration and low frequency content of seismic ground motion during megathrust earthquakes facilitate the triggering of multiple, voluminous landslides and the generation of megaturbidites. In contrast, the shorter duration and higher frequency source spectrum of intraslab earthquakes may only induce surficial slope remobilization and the generation of thinner turbidites. This study demonstrates that the sedimentary record of Skilak Lake has the potential to decipher multiple seismic sources, which opens possibilities for a comprehensive seismic hazard analysis for south-central Alaska.

Alaska

Landsat 7 processing on the EROS Data Center's National Land Archive Processing System (NLAPS)

Staff at the U.S. Geological Survey (USGS) EROS Data Center (EDC) process Landsat 7 data for customer distribution on two distinct systems. The Distributed Active Archive Center (DAAC) processing is done on the Level -1 Product Generation System (LPGS), and the USGS processing is completed on the National Land Archive Processing System (NLAPS). The NLAPS is capable of processing data from Landsat 1-5 and 7 and SPOT 1-3. The data can be processed with correction levels ranging from Level-0 raw data to terrain-corrected precision products in a variety of output formats. The NLAPS processing system requires that different ordering procedures be used for standard recipe versus special order processing, and it makes available many processing and framing options. The NLAPS draws on a ground control point library whose sources range from paper maps to textual descriptions and registered source imagery, such as digital orthophoto quadrangles. The accuracy of the final products will vary depending on the level of correction applied and the source of the ground control points used for the precision corrections. An accuracy assessment of the LPGS systematic product versus the NLAPS systematic product demonstrates that both systems provide the same geometric and radiometric accuracy in systematically corrected products.

Conference Paper

Digital elevation extraction from multiple MTI data sets

The Digital Elevation Model (DEM) extraction process traditionally uses a stereo pair of aerial photographs that are sequentially captured using an airborne metric camera. Standard DEM extraction techniques have been naturally extended to utilize satellite imagery. However, the particular characteristics of satellite imaging can cause difficulties in the DEM extraction process. The ephemeris of the spacecraft during the collects, with respect to the ground test site, is the most important factor in the elevation extraction process. When the angle of separation between the stereo images is small, the extraction process typically produces measurements with low accuracy. A large angle of separation can cause an excessive number of erroneous points in the output DEM. There is also a possibility of having occluded areas in the images when drastic topographic variation is present, making it impossible to calculate elevation in the blind spots. The use of three or more images registered to the same ground area can potentially reduce these problems and improve the accuracy of the extracted DEM. The pointing capability of the Multispectral Thermal Imager (MTI) allows for multiple collects of the same area to be taken from different perspectives. This functionality of MTI makes it a good candidate for the implementation of DEM extraction using multiple images for improved accuracy. This paper describes a project to evaluate this capability and the algorithms used to extract DEMs from multi-look MTI imagery.

Conference Paper

Pore pressure response during failure in soils

Three experiments were performed on natural slopes to investigate variations of soil pore-water pressure during induced slope failure. Two sites in the Wasatch Range, Utah, and one site in the San Dimas Experimental Forest of southern California were forced to fail by artificial subsurface irrigation. The sites were instrumented with electronic piezometers and displacement meters to record induced pore pressures and movements of the slopes during failure. Piezometer records show a consistent trend of increasing pressure during the early stages of infiltration and abrupt decreases in pressure from 5 to 50 minutes before failure. Displacement meters failed to register the amount of movement, due to location and ineffectual coupling of meter pins to soil. Observations during the experiments indicate that fractures and macropores controlled the flow of water through the slope and that both water-flow paths and permeability within the slopes were not constant in space or time but changed continually during the course of the experiments.

California, Utah

Upper Grand Coulee: New views of a channeled scabland megafloods enigma

New findings about old puzzles occasion rethinking of the Grand Coulee, greatest of the scabland channels. Those puzzles begin with antecedents of current upper Grand Coulee. By a recent interpretation, the upper coulee exploited the former high-level valley of a preflood trunk stream that had drained to the southwest beside and across Coulee anticline or monocline. In any case, a constriction and sharp bend in nearby Columbia valley steered Missoula floods this direction. Completion of upper Grand Coulee by megaflood erosion captured flood drainage that would otherwise have continued to enlarge Moses Coulee. Upstream in the Sanpoil valley, deposits and shorelines of last-glacial Lake Columbia varied with the lake’s Grand Coulee outlet while also recording scores of Missoula floods. The Sanpoil evidence implies that upper Grand Coulee had approached its present intake depth early the last glaciation at latest, or more simply during a prior glaciation. An upper part of the Sanpoil section provides varve counts between the last tens of Missoula floods in a stratigraphic sequence that may now be linked to flood rhythmites of southern Washington by a set-S tephra from Mount St. Helens. On the floor of upper Grand Coulee itself, recently found striated rock and lodgement till confirm the long-held view, which Bretz and Flint had shared, that cutting of upper Grand Coulee preceded its last-glacial occupation by the Okanogan ice lobe. A dozen or more late Missoula floods registered as sand and silt in the lee of Steamboat Rock. Some of this field evidence about upper Grand Coulee may conflict with results of recent two-dimensional simulations for a maximum Lake Missoula. In these simulations only a barrier high above the present coulee intake enables floods to approach high-water marks near Wenatchee that predate stable blockage of Columbia valley by the Okanogan lobe. Above the walls of upper Grand Coulee, scabland limits provide high-water targets for two-dimensional simulations of watery floods. The recent models sharpen focus on water sources, prior coulee incision, and coulee’s occupation by the Okanogan ice lobe. Field reappraisal continues downstream from Grand Coulee on Ephrata fan. There, some of the floods exiting lower Grand Coulee had bulked up with fine sediment from glacial Lake Columbia, upper coulee till, and a lower coulee lake that the fan itself impounded. Floods thus of debris-flow consistency carried outsize boulders previously thought transported by watery floods. Below Ephrata fan, a backflooded reach of Columbia valley received Grand Coulee outflow of small, late Missoula floods. These late floods can—by varve counts in post-S-ash deposits of Sanpoil valley—be clocked now as a decade or less apart. Still farther downstream, Columbia River gorge choked the largest Missoula floods, passing peak discharge only one-third to one-half that released by the breached Lake Missoula ice dam.

Oregon, Washington

Sapflow and water use of freshwater wetland trees exposed to saltwater incursion in a tidally influenced South Carolina watershed

Sea-level rise and anthropogenic activity promote salinity incursion into many tidal freshwater forested wetlands. Interestingly, individual trees can persist for decades after salt impact. To understand why, we documented sapflow (J s ), reduction in J s with sapwood depth, and water use (F) of baldcypress (Taxodium distichum (L.) Rich.) trees undergoing exposure to salinity. The mean J s of individual trees was reduced by 2.8 g H 2 O??m -2 ??s -1 (or by 18%) in the outer sapwood on a saline site versus a freshwater site; however, the smallest trees, present only on the saline site, also registered the lowest J s . Hence, tree size significantly influenced the overall site effect on J s . Trees undergoing perennial exposure to salt used greater relative amounts of water in outer sapwood than in inner sapwood depths, which identifies a potentially different strategy for baldcypress trees coping with saline site conditions over decades. Overall, individual trees used 100 kg H 2 O??day -1 on a site that remained relatively fresh versus 23.9 kg H 2 O??day -1 on the saline site. We surmise that perennial salinization of coastal freshwater forests forces shifts in individual-tree osmotic balance and water-use strategy to extend survival time on suboptimal sites, which further influences growth and morphology.

South Carolina

Brown treesnake (Boiga irregularis) trappability: Attributes of the snake, environment and trap

We examined three classes of factors that may influence brown treesnake (Boiga irregularis) trappability on Guam: (1) attributes of the snake, (2) attributes of the environment and (3) attributes of the trap. The attributes of the snake we considered included body condition, length and sex. Heavier snakes for a given size (better body condition) moved less and were less easily trapped. Longer snakes were easier to trap. Males were also slightly more easily trapped than females. We compared brown treesnake trappability between two study sites that differed greatly in the abundance of diurnal skinks, an important prey item for smaller snakes. We predicted that snakes, especially small individuals (<800 mm snout-vent length), would be more easily trapped in the low prey environment, a result that received only weak support from our data. However, small snakes were rarely trapped under any circumstance. We also predicted that diurnal foraging would be observed in the site with a higher density of diurnal prey, but daytime snake captures were negligible at both sites. Two attributes of traps that we varied were attractant (mouse vs. skink) and entrance flaps (present vs. absent). Traps with mice as attractant registered 6-16 fold more snake captures. We found little influence of entrances on captures. These modulators of brown treesnake trappability may have analogues in a variety of species, especially species that undergo an ontogenetic shift in diet. ?? 2008 Brill Academic Publishers.

Applied Herpetology

Dynamics, variability, and change in seasonal precipitation reconstructions for North America

Cool and warm season precipitation totals have been reconstructed on a gridded basis for North America using 439 tree-ring chronologies correlated with December-April totals and 547 different chronologies correlated with May-July totals. These discrete seasonal predictor chronologies are not significantly correlated with the alternate season and the reconstructions calibrate at least 40% of the variance in both December-April and May-July precipitation totals over a large portion of North America for up to 2,000-years. Validation statistics computed on independent instrumental precipitation data from 1901-1927 indicate that the December-April reconstructions are reliable over most of the western and southern United States and northcentral Mexico, and the May-July estimates are valid over most of the United States, southwest Canada, and northeast Mexico. The strong continent wide El Niño/Southern Oscillation (ENSO) signal embedded in the cool season reconstructions, and the Arctic Oscillation signal registered by the warm season estimates, both faithfully reproduce the sign, intensity, and spatial patterns of these ocean-atmospheric influences on North American precipitation as recorded with instrumental data. The reconstructions are included in the North American Seasonal Precipitation Atlas (NASPA) and provide new insight into decadal droughts and pluvials. They indicate that the 16th century megadrought, the most severe and sustained North American drought of the past 500-years, was the combined result of three distinct seasonal droughts each bearing unique spatial patterns potentially associated with seasonal forcing from ENSO, the Arctic Oscillation, and the Atlantic Multidecadal Oscillation. Significant 200- to 500-year long trends toward increased precipitation have been detected in the cool and warm season reconstructions for eastern North America. These seasonal precipitation changes appear to be part of the positive moisture trend measured in other paleoclimate proxies for the East that began due to natural forcing before the industrial revolution and may have recently been enhanced by anthropogenic climate change.

Journal of Climate

Inactivation of viable surrogates for the select agents virulent Newcastle disease virus and highly pathogenic avian influenza virus using either commercial lysis buffer or heat

Introduction: Federal Select Agent Program regulations require laboratories to document a validated procedure for inactivating select agents prior to movement outside registered space. Avian influenza viruses and virulent Newcastle disease virus (vNDV) are cultured in chicken amnio-allantoic fluid (AAF), but the efficacy of commercial lysis buffers to inactivate viruses in protein-rich media has not been documented. Objectives: We assesses the efficacy of MagMAX™ lysis buffer for inactivating highly pathogenic avian influenza virus (HPAIV) and vNDV in chicken AAF and confirm the inactivation of avian influenza in serum using heat. Methods: Low pathogenic avian influenza virus (LPAIV) and avian paramyxovirus subtype-1 (APMV-1) were incubated with lysis buffer and tested for viability. Known viable LPAIV and APMV-1 RNA was extracted from AAF using MagMAX™-96 AI/ND Viral RNA Isolation kit, and the eluate was tested for remaining infectious agent. Finally, inactivation of LPAIV in serum was examined over 3 combinations of temperature and incubation time. Results: MagMAX™ lysis buffer inactivated both LPAIV and APMV-1 in AAF when incubated for 30 minutes at room temperature. The full extraction process eliminated viable virus from the final RNA eluate. LPAIV in serum heated to 70°C for 30 minutes was rendered noninfectious. Conclusion: The ability of a diagnostic laboratory to move samples from one space to another is critical to maintaining biosecurity as well as efficient laboratory workflow. Our study demonstrates a method to ensure the inactivation of viable avian influenza and avian paramyxoviruses in AAF, RNA eluate, and viable avian influenza virus in sera.

Applied Biosafety