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Morphological evolution in the San Francisco Bight

San Francisco Bight, located near the coast of San Francisco, USA, is an extremely dynamic tidal inlet environmental subject to large waves and strong currents. Wave heights coming from the Pacific Ocean commonly exceed 5 m during winter storms. During peak flow tidal currents approach 3 m/s at the Golden Gate, a 1 km wide entrance that connects San Francisco Bay to the Pacific Ocean. Flow structure in this region varies markedly spatially and temporally due to the complex interaction by wind, waves and tidal currents. A multibeam sonar survey was recently completed that mapped in high resolution, for the first time, the bottom morphology in the region of the ebb tidal delta. This data set includes a giant sand wave field covering an area of approximately 4 square kilometers. The new survey enables the calculation of seabed change that has occurred in the past 50 years, since the last comprehensive survey of the area was completed. This comparison indicates an average erosion of 60 centimeters which equates to a total volume change of approximately 9.3 x 10 7 m 3 . Morphologic change also indicates that flood channels have filled and that the entire ebb delta is contracting radially.

California

Multi-stage origin of the Coast Range ophiolite, California: Implications for the life cycle of supra-subduction zone ophiolites

The Coast Range ophiolite of California is one of the most extensive ophiolite terranes in North America, extending over 700 km from the northernmost Sacramento Valley to the southern Transverse Ranges in central California. This ophiolite, and other ophiolite remnants with similar mid-Jurassic ages, represent a major but short-lived episode of oceanic crust formation that affected much of western North America. The history of this ophiolite is important for models of the tectonic evolution of western North America during the Mesozoic, and a range of conflicting interpretations have arisen. Current petrologic, geochemical, stratigraphic, and radiometric age data all favor the interpretation that the Coast Range ophiolite formed to a large extent by rapid extension in the forearc region of a nascent subduction zone. Closer inspection of these data, however, along with detailed studies of field relationships at several locales, show that formation of the ophiolite was more complex, and requires several stages of formation. Our work shows that exposures of the Coast Range ophiolite preserve evidence for four stages of magmatic development. The first three stages represent formation of the ophiolite above a nascent subduction zone. Rocks associated with the first stage include ophiolite layered gabbros, a sheeted complex, and volcanic rocks vith arc tholeiitic or (roore rarely) low-K calc-alkaline affinities. The second stage is characterized by intrusive wehrlite-clinopyroxenite complexes, intrusive gabbros, Cr-rich diorites, and volcanic rocks with high-Ca boninitic or tholeiitic ankaramite affinities. The third stage includes diorite and quartz diorite plutons, felsic dike and sill complexes, and calc-alkaline volcanic rocks. The first three stages of ophiolite formation were terminated by the intrusion of mid-ocean ridge basalt dikes, and the eruption of mid-ocean ridge basalt or ocean-island basalt volcanic suites. We interpret this final magmatic event (MORB dikes) to represent the collision of an active spreading ridge. Subsequent reorganization of relative plate motions led to sinistral transpression, along with renewed subduction and accretion of the Franciscan Complex. The latter event resulted in uplift and exhumation of the ophiolite by the process of accretionary uplift.

California

Summary of November 2010 meeting to evaluate turbidite data for constraining the recurrence parameters of great Cascadia earthquakes for the update of national seismic hazard maps

This report summarizes a meeting of geologists, marine sedimentologists, geophysicists, and seismologists that was held on November 18–19, 2010 at Oregon State University in Corvallis, Oregon. The overall goal of the meeting was to evaluate observations of turbidite deposits to provide constraints on the recurrence time and rupture extent of great Cascadia subduction zone (CSZ) earthquakes for the next update of the U.S. national seismic hazard maps (NSHM). The meeting was convened at Oregon State University because this is the major center for collecting and evaluating turbidite evidence of great Cascadia earthquakes by Chris Goldfinger and his colleagues. We especially wanted the participants to see some of the numerous deep sea cores this group has collected that contain the turbidite deposits. Great earthquakes on the CSZ pose a major tsunami, ground-shaking, and ground-failure hazard to the Pacific Northwest. Figure 1 shows a map of the Pacific Northwest with a model for the rupture zone of a moment magnitude M w 9.0 earthquake on the CSZ and the ground shaking intensity (in ShakeMap format) expected from such an earthquake, based on empirical ground-motion prediction equations. The damaging effects of such an earthquake would occur over a wide swath of the Pacific Northwest and an accompanying tsunami would likely cause devastation along the Pacifc Northwest coast and possibly cause damage and loss of life in other areas of the Pacific. A magnitude 8 earthquake on the CSZ would cause damaging ground shaking and ground failure over a substantial area and could also generate a destructive tsunami. The recent tragic occurrence of the 2011 M w 9.0 Tohoku-Oki, Japan, earthquake highlights the importance of having accurate estimates of the recurrence times and magnitudes of great earthquakes on subduction zones. For the U.S. national seismic hazard maps, estimating the hazard from the Cascadia subduction zone has been based on coastal paleoseismic evidence of great earthquakes over the past 5,000 years. The instrumental catalog of earthquakes is of little use for constraining the hazard of the CSZ, because there are virtually no recorded earthquakes on most of the plate interface of the CSZ. There are no historical accounts in the past 150 years of large earthquakes on most of the CSZ. Until about 20 years ago, some interpreted this lack of recent and historical earthquakes as an indicator that the subduction zone was slipping aseismically and could not produce a great earthquake. The work of Brian Atwater and others, in the late 1980s and the 1990s (Atwater, 1987, 1992; Atwater and others, 1995; Nelson and others, 1996; Clague, 1997; Atwater and Hemphill-Haley, 1997; Atwater and others, 2004) demonstrated that submerged forests, buried soils, tsunami deposits, and liquefaction along and near the coast were compelling evidence of repeated great Cascadia earthquakes over at least the past 5,000 years. Atwater and Hemphill-Haley (1997) concluded from paleoseismic evidence at Willapa Bay, Washington, that great earthquakes ruptured the CSZ with an average recurrence time of about 500 years. The date of the last great CSZ earthquake, January 26, 1700, was established from historical records of the so-called orphan tsunami in Japan that is inferred to have been produced by this earthquake (Satake and others, 1996, 2003; Atwater and others, 2005) and is consistent with tree-ring data from drowned forests in Washington and Oregon. From modeling the observations of the tsunami, Satake and others (2003) estimated a moment magnitude of about 9.0 for this earthquake. Many other paleoseismic sites have been investigated along the Pacific Northwest coast from Vancouver Island to northern California and show evidence of great CSZ earthquakes. Nelson and others (2006) summarized the dates found from these studies and proposed correlations between sites indicating the extent of rupture for individual events. Dating of inferred tsunami deposits in Bradley Lake, Oregon by Kelsey and others (2005), as well as tsunami and subsidence evidence from Six Rivers, Oregon (Kelsey and others, 2002) and Coquille River (Witter and others, 2003), indicates that there were probably M w 8 ruptures in the southern portion of the CSZ in addition to the M w 9 events that rupture the whole length of the CSZ (Nelson and others, 2006). A parallel development over the past 20 years or more is the use of deep-sea turbidite deposits for identifying and dating great Cascadia earthquakes over the past 10,000 years (Adams, 1990; Goldfinger and others, 2003, 2008, in press; Goldfinger, 2011). Turbidites are sediment deposits in the deep ocean from turbidity currents, which are energetic flows of sediment and water along the continental shelf and slope. Adams (1990), using the counts of turbidites in deep-sea cores off the coast of Oregon and Washington collected and analyzed by Griggs (1969) and Griggs and others (1969), proposed that these turbidites were caused by the shaking of great Cascadia earthquakes. Part of his reasoning was that the number (13) of turbidite deposits that occurred since deposition of the Mazama Ash 7,000 years ago gave a recurrence time of about 500 years, consistent with that derived from the coastal submergence data. Adams (1990) also proposed the “confluence test” which evaluates the number of turbidites for submarine channels that form a confluence. He reported that the number of turbidites in the single downstream channel equaled the number in each of the tributary channels. He reasoned that this indicated that the turbidites in each tributary were simultaneously triggered and were, therefore, caused by a common forcing agent. He concluded that shaking from extended ruptures of great Cascadia earthquakes was the most likely cause of these turbidites. Based on the paleoseismic evidence of past great earthquakes, the hazard from the Cascadia subduction zone was included in the 1996 U.S. NSHM (Frankel and others, 1996), which were the basis for seismic provisions in the 2000 International Building Code. These hazard maps used the paleoseismic studies to constrain the recurrence rate of great CSZ earthquakes. Goldfinger and his colleagues have since collected many more deep ocean cores and done extensive analysis on the turbidite deposits that they identified in the cores (Goldfinger and others, 2003, 2008, in press; Goldfinger, 2011). Using their dating of the sediments and correlation of features in the logs of density and magnetic susceptibility between cores, they developed a detailed chronology of great earthquakes along the CSZ for the past 10,000 years (Goldfinger and others, in press). These correlations consist of attempting to match the peaks and valleys in logs of density and magnetic susceptibility between cores separated, in some cases, by hundreds of kilometers. Based on this work, Goldfinger and others (2003, 2008, in press) proposed that the turbidite evidence indicated the occurrence of great earthquakes (M w 8) that only ruptured the southern portion of the CSZ, as well as earthquakes with about M w 9 that ruptured the entire length of the CSZ. For the southernmost portion of the CSZ, Goldfinger and others (in press) proposed a recurrence time of M w 8 or larger earthquakes of about 230 years. This proposed recurrence time was shorter than the 500 year time that was incorporated in one scenario in the NSHM’s. It is important to note that the hazard maps of 1996 and later also included a scenario or set of scenarios with a shorter recurrence time for M w 8 earthquakes, using rupture zones that are distributed along the length of the CSZ (Frankel and others, 1996; Petersen and others, 2008). Originally, this scenario was meant to correspond to the idea that some of the 500-year averaged ruptures seen in the paleoseismic evidence could have been a series of M w 8 earthquakes that occurred over a short period of time (a few decades), rather than M w 9 earthquakes. Figure 2 shows the logic tree for the CSZ used in the 2008 NSHM’s (Petersen and others, 2008). This logic tree includes whole CSZ rupture earthquakes (M w 8.8–9.2) and partial CSZ rupture earthquakes (M w 8.0–8.7). In this latest version of the NSHM’s, the effective recurrence time of earthquakes on the CSZ with moment magnitudes greater than or equal to 8.0 over the various models is about 270 years (Petersen and others, 2008). This recurrence time applies to the entire CSZ, so that the hazard from great earthquakes was approximately equal along the whole zone, although the hazard estimates taper on the northern and southern ends of the CSZ, because of the way rupture zones of M w 8 earthquakes were distributed along the strike of the CSZ. The NSHM will be updated in 2013, as part of the standard update cycle that corresponds to the update cycle of the national model building codes that are based on the seismic hazard maps. A meeting was necessary to assemble a wide group of experts to hear Dr. Goldfinger explain his methodology for dating and correlating the turbidites and for developing the earthquake chronology. The overall goal of the workshop was to evaluate observations of turbidite deposits to provide constraints on the recurrence times and rupture extents of great Cascadia subduction zone earthquakes for the next update of the NSHM. Before the meeting, participants were supplied with the U.S. Geological Survey (USGS) Professional Paper of Goldfinger and others (in press), as well as material from Brian Atwater and Alan Nelson. The agenda of the meeting was developed by Art Frankel, with assistance from Chris Goldfinger, Brian Atwater, Alan Nelson, Mark Petersen, and Craig Weaver. The meeting was hosted by Chris Goldfinger of Oregon State University. We stress that it is difficult to evaluate in a two-day meeting the large amount of work that Goldfinger and his colleagues have done over the past 15 years or more. This meeting is the first step in a process that develops the inputs to the update of the national maps. The conclusions of this workshop will be discussed and possibly modified at the regional Pacific Northwest workshop for the hazard maps to be held in early 2012. Vetting new research results using informed expert opinion is an integral part of updating the national maps and does not reflect on the veracity of these results.

Cascadia

Magnetic data on the structure of the central Arctic Region

A study of 23,000 miles of total intensity aeromagnetic profiles in the central Arctic has been made by the U. S. Geological Survey and the U. S. Coast and Geodetic Survey. The profiles were flown at 20,000 feet above sea level and cover approximately 1,350,000 square miles of the Arctic Ocean between the North Pole and the North American continent. When the profiles are smoothed to remove crustal anomalies, the resulting contoured values differ from the U. S. Hydrographic Office Chart 1703 N for 1955 corrected to 1951 by as much as 2000 gammas in the northern part of the Arctic Archipelago. A nondipole regional focus east of Greenland has decreased in amplitude but has changed very little in position since 1907.5. There is a profound difference in the magnetic characteristics of the rocks on either side of the underwater Lomonosov Ridge across the Arctic Ocean. In the Eurasian Basin the high-altitude profiles are relatively smooth or show only minor anomalies, but on the North American side of the ridge there is a large area of closely spaced, high-amplitude anomalies which has been designated the Central Magnetic Zone. Although the anomaly trends parallel the Alpha Rise, this zone is far more extensive, including nearly half of the Canadian Basin on one side and probably all the Central Arctic Basin on the other side of the rise. The Lomonosov Ridge is marked by a persistent anomaly of moderate size that indicates the presence of magnetic material in the ridge. Probable block-fault structures along the flanks of the Alpha Rise are associated with blocklike magnetic anomalies of comparable widths. A characteristic magnetic pattern occurs over an area of jagged bottom topography in the Eurasian Basin. A similar magnetic pattern over part of the Lena Trough may indicate another area of jagged topography. The belt of epicenters associated with the Mid-Atlantic Ridge continues through this rugged part of the Eurasian Basin, but the absence of the typical high magnetic anomaly makes it doubtful that the mid-oceanic ridge extends through this part of the Arctic . Magnetic data indicate that the thick sections of sedimentary rocks in the Paleozoic geosynclinal belts of northern Ellesmere Island and northern Greenland continue out under the adjacent continental shelves north of Greenland, west of the Arctic Archipelago, north of the part of Alaska east of Barrow, and under part of the Chukchi Shelf, and that they make up the bulk of the Nansen Swell off Spitsbergen. Thick sedimentary fill is indicated in the magnetically flat areas of the Eurasian Basin next to the Lomonosov Ridge and in the southern part of the Canadian Basin. The magnetic profiles on the Eurasian side of the Lomonosov Ridge closely resemble typical magnetic profiles over both Atlantic and Pacific oceans, where as the profiles of the Central Magnetic Zone on the North American side of the Lomonosov Ridge are completely unlike the oceanic data and show a striking similarity to typical profiles over the Precambrian rocks of the Canadian Shield and its buried equivalent under the Central Stable Region of the United States. Therefore, it is concluded that the Arctic region consists of a probable oceanic area on the Eurasian side and a basin formed by downdropped continental rocks, presumably a Precambrian complex similar to that of the Canadian Shield, on the North American side of the ridge.

Geological Society of America Bulletin

Geographic variation in sea otters, Enhydra lutris

Univariate and multivariate analyses of 20 skull characters of 304 adult sea otters from throughout the geographic range strongly suggest that three subspecies should be recognized. The nominate form, Enhydra lutris lutris , occurs from the Kuril Islands north to the Commander Islands in the western Pacific Ocean. Individuals of E. l. lutris are characterized by large size and wide skulls with short nasal bones. E. l. nereis is found along the California coast and off San Nicolas Island, where the species recently has been reintroduced from coastal California. Specimens of E. l. nereis have narrow skulls with a long rostrum and small teeth, and usually lack the characteristic notch in the postorbital region found in most specimens of the other two subspecies. A new subspecies described by Don E. Wilson in this report, occurs throughout the Aleutian Islands and southward in the eastern Pacific to Washington. Specimens of the new subspecies are intermediate in size in most, but not all, characters and have longer mandibles than either of the other two subspecies.

Journal of Mammalogy

Catastrophe, recovery and range limitation in NE Pacific kelp forests: a large-scale perspective

The 1997–98 El Niño was one of the strongest on record and resulted in widespread losses of the giant kelp Macrocystis pyrifera (Agardh) along the west coast of North America. Drawing on a rich history of studies that have shown abnormally large waves and warm nutrient-poor water associated with El Niños to negatively impact giant kelp populations at some locations in southern and Baja California, we examined (1) how these impacts scale up when considered across the species’ geographic range in the NE Pacific Ocean and (2) if these impacts are generalizable over broad spatial scales. Working at 56 sites in 14 study locations over a 3 yr period (1997 to 2000), we examined how giant kelp populations were impacted by and recovered following the 1997–98 El Niño over a ~1500 km span along the west coast of North America. Our results indicate that while nearly all giant kelp disappeared from the southern one-third of the species’ range along the coast of Baja California, Mexico, and heavy losses occurred throughout the central one-third of the species’ range in southern California, USA, only minor impacts were observed throughout the northern one-third of the species’ range in central California. Further, although highly variable among regions, these impacts were similar and generalizable among locations within each region. Our results also suggest that, as has been observed in local-scale studies, this large-scale variability in giant kelp mortality was driven by large-scale patterns in ocean temperature (nutrient concentration) and wave intensity. Recovery following El Niño, in contrast, was variable at multiple spatial scales and although not directly tested here, presumably influenced by numerous factors such as proximity to upwelling areas, competition with other algae, grazing, and propagule availability. Further, variability in the rates of recovery among locations resulted in a generally slow recovery of giant kelp throughout most of Baja California, and residual large-scale impacts of the El Niño were still evident 2 yr after the El Niño ended. As global climate change may lead to increases in the frequency and intensity of El Niños, our findings have broad implications for the ways in which ecosystems might be expected to respond to them and provide a measure by which their impacts to giant kelp ecosystems may be compared among events.

Pacific Ocean

Data Report: Intra-annual variability of the diatom assemblages at Hole 1034B (Saanich Inlet) near 9 ka

Ocean Drilling Program (ODP) Site 1034 (48°38.000´N, 123°30.000´W) was drilled at a water depth of 200 m in the Saanich Inlet, an anoxic fjord on the southeastern coast of Vancouver Island, British Columbia, to a depth of 118.2 meters below seafloor (mbsf). The uppermost 50 m consists of very well-laminated (triplet varves) diatomaceous muds deposited over the past 7000 yr. Below, sediments become progressively less distinctly laminated and reflect better oxygenated bottom-water conditions. The oldest sediments recovered at Site 1034 were dated as 14 to 15 ka (see Shipboard Scientific Party, 1998). Varved sediments recovered during Leg 169S in the Saanich Inlet offer an excellent opportunity to compare the interannual variability of recent climatic elements (e.g., sea-surface temperature, salinity, precipitation) with those of late Quaternary periods that were characterized by climates appreciably different from those of today. A large amount of recent diatom data from Saanich Inlet exists, which can serve as a baseline for such comparisons: Sancetta (1989a, 1989b, 1990) investigated modern processes controlling the accumulation of diatoms and spacial and temporal trends of diatom flux in the Inlet; Sancetta and Calvert (1988) documented the annual cycle of sedimentation in the fjord. McQuoid (1995) and McQuoid and Hobson (1997) studied the modern pattern of diatom succession in the Saanich Inlet and analyzed the diatoms in laminae couplets in frozen sediment cores for the years 1900 to 1991 A.D. During the hypsithermal warming of the early Holocene (~10-6 ka), climatic conditions throughout much of northern North America were warmer and drier than those of the present (Pielou, 1991; Hebda and Whitlock, 1997), largely as a result of increased solar insolation, which peaked between 10 and 9 ka at 65°N (Berger and Loutre, 1991). Temperatures are estimated to have been 2° to 4°C warmer than today for most of this interval, reaching a maximum between ~9 and 7 ka (Hebda and Whitlock, 1997). According to Heusser (1983) and Heusser (1985), rapid warming occurred at ~10 ka in southwestern British Columbia with summer conditions that were drier and as warm or warmer than today lasting until ~6 ka. Clague and Mathewes (1989) report that treeline elevation in the southeastern coast mountains of British Columbia reached elevations that were between 60 and 130 m higher than today between 9.1 and 8.2 ka. Thompson et al. (1993) argue that the driest conditions (period of maximum summer drought) of the Holocene were reached in western North America at 9 ka. The warmer and drier conditions of this Holocene thermal maximum were gradually replaced by cooler and wetter conditions (Hebda, 1995; Hebda and Whitlock, 1997). This report describes the intra-annual variability of the diatom assemblages at Site 1034, during a 8-yr interval near 9 ka. Pollen and dinoflagellates are being studied from the same samples by R. Hebda and P. Mudie (unpubl. data).

British Columbia

Application of a hydrodynamic and sediment transport model for guidance of response efforts related to the Deepwater Horizon oil spill in the Northern Gulf of Mexico along the coast of Alabama and Florida

U.S. Geological Survey (USGS) scientists have provided a model-based assessment of transport and deposition of residual Deepwater Horizon oil along the shoreline within the northern Gulf of Mexico in the form of mixtures of sand and weathered oil, known as surface residual balls (SRBs). The results of this USGS research, in combination with results from other components of the overall study, will inform operational decisionmaking. The results will provide guidance for response activities and data collection needs during future oil spills. In May 2012 the U.S. Coast Guard, acting as the Deepwater Horizon Federal on-scene coordinator, chartered an operational science advisory team to provide a science-based review of data collected and to conduct additional directed studies and sampling. The goal was to characterize typical shoreline profiles and morphology in the northern Gulf of Mexico to identify likely sources of residual oil and to evaluate mechanisms whereby reoiling phenomena may be occurring (for example, burial and exhumation and alongshore transport). A steering committee cochaired by British Petroleum Corporation (BP) and the National Oceanic and Atmospheric Administration (NOAA) is overseeing the project and includes State on-scene coordinators from four States (Alabama, Florida, Louisiana, and Mississippi), trustees of the U.S. Department of the Interior (DOI), and representatives from the U.S. Coast Guard. This report presents the results of hydrodynamic and sediment transport models and developed techniques for analyzing potential SRB movement and burial and exhumation along the coastline of Alabama and Florida. Results from these modeling efforts are being used to explain the complexity of reoiling in the nearshore environment and to broaden consideration of the different scenarios and difficulties that are being faced in identifying and removing residual oil. For instance, modeling results suggest that larger SRBs are not, under the most commonly observed low-energy wave conditions, likely to move very far alongshore. This finding suggests that SRBs from one source location may not (outside of storm conditions) be redistributed to other up or down coast locations. This information can guide operational response decisions. In addition, because SRBs are less mobile compared with sand, they are likely to become buried and unburied under normal sand transport processes thereby lengthening the time SRBs may take to move onshore. The rate of onshore movement was not specifically addressed by this study, yet the results resolve the cross-shore domain and cross-shore variations in alongshore transport that are relevant to achieving the primary objectives. Furthermore, during infrequent events (for example, winter storms and severe meteorological events such as Hurricane Isaac of August 2012), energy is shown to be sufficient to move a greater range of SRB sizes and potentially expose and break up submerged oil mats. When SRBs do move alongshore, the models indicate that there are regions that are more conducive to accumulation of SRB material than others. Accumulation can occur where there are reversals and decelerations in alongshore currents and where forces created by shear stress drops below critical thresholds to maintain or initiate SRB movement. In addition, flow and SRB mobility patterns around inlets indicate patterns in hydrodynamic forces that influence redistribution of SRBs and the surface oil that mixed with sediment to form oil mats in the first place.

Alabama;Florida

Pliocene–Pleistocene pollen assemblages from the Yermak Plateau, Arctic Ocean: Sites 910 and 911

Palynological and paleobotanical research on upper Pliocene sediments from Meighen Island, Kap København, and deep-sea sites in the North Atlantic Ocean has indicated the presence of forest tundra far north of its present limits and warmer conditions than present. New pollen data from samples obtained on Ocean Drilling Program Leg 151 (Sites 910 and 911) on the Yermak Plateau of the Arctic Ocean provide a record of late Pliocene terrestrial floras characteristic of at least boreal to subarctic climatic conditions in the source areas. Pollen and spores are present in upper Pliocene sediments from both cores, with typical concentrations of 1,000 to 2,000 pollen grains per gram of dry sediment. Pinus is the dominant genus in upper Pliocene assemblages, and Picea and Betula are subdominant. Other taxa typically present include Alnus , Corylus , Larix , Tsuga , Pterocarya , Sciadopitys and members of the Poaceae, Cyperaceae, Asteraceae, and Ericaceae. These assemblages are suggestive of open boreal vegetation with relatively temperate deciduous elements and indicate warmer Pliocene conditions than today in the pollen source areas. Pleistocene pollen assemblages from Site 911 consist primarily of Pinus and Picea pollen with few other taxa present. Such assemblages indicate cold conditions, probably similar to those of today, and palynomorphs are less common in Pleistocene sediments, typically <1,000 pollen grains per gram of dry sediment. In both cores, most reworked palynomorphs, which are two to three times more abundant than nonreworked ones, are Cretaceous in age and include genera characteristic of both the Aquilapollenites and Normapolles provinces; this composition suggests that the source of reworked material was the northern Asian coast between the Barents Sea and Laptev Sea, the main region where Cretaceous rocks containing both these assemblages are preserved. These reworked palynomorphs probably were transported either by sea ice or ocean currents via the Transpolar Drift to the Yermak Plateau sites.

Conference Paper

U.S. Geological Survey (USGS) Western Region: Seabirds coastal and ocean science

From the cold, high Arctic area of Alaska to the warm, tropical Pacific area of Hawai'i, a diverse array of seabird species numbering in the millions of individuals live off the bounty of the Pacific Ocean. Many come to land only to nest and raise their young - these are species supremely adapted for life on the water, whether it be near the coast or hundreds of miles at sea. Those seabirds that reside in the North Pacific year-round are joined each summer by millions of migrant birds that leave the southern hemisphere in winter for better feeding conditions in the north. Seabirds in the Pacific remain one of the great wildlife spectacles on the earth. Yet, seabirds face a number of threats such as oil spills, introduction of predators to their nesting islands, and conflicts with fisheries. State and Federal agencies require increasingly sophisticated information on population dynamics, breeding biology, and feeding ecology to successfully manage these species and their ecosystems. Within the Western Region of the USGS, scientists from the Alaska Science Center (ASC), Western Ecological Research Center (WERC), and Pacific Islands Ecosystems Research Center are leading the way in conducting research on many of these little known species. Their aim is to improve our understanding of seabirds in the Pacific and to provide information to support informed management of the birds and their ecosystems.

Fact Sheet

Restoration of freshwater in the Cano Tiburones area, Puerto Rico

Cano Tiburones on the north coast of Puerto Rico originally was a shallow, coastal lagoon, 9 square miles in area. It accumulated freshwater from adjacent rivers and springs and drained to the ocean through unobserved subterranean conduits. Forced drainage by pumping of Cano Tiburones for agriculture was begun in 1949, and resulted in lowering the water level to below sea level. The reversed hydraulic gradient permitted seawater to enter the Cano through the conduits forming seawater "springs". Seawater flooding caused widespread sodium chloride contamination in the canals and laterals and in the soils. Agricultural expectations of the area were not realized. The present investigation into the freshening potential of Cano Tiburones (1979-1982) determined that ground-water discharge does not contribute to salty conditions. On-site experiments were performed to segregate freshwater from seawater using differences in hydraulic head. Dams were constructed on canals and laterals, forcing accumulated saltwater to the ocean. Ring levees were placed around the discharging seawater conduits until sea level was reached and flow to the system stopped. These efforts have succeeded in reducing the amount of seawater in Cano Tiburones to one-third of its original concentration. Most of the water presently in Cano Tiburones is suitable for irrigation.

Cano Tiburones

Movement ecology and habitat use differences in Black Scoters wintering along the Atlantic coast

For migratory species such as Black Scoters ( Melanitta americana ) whose range encompasses a variety of habitats, it is especially important to obtain habitat use information across the species’ range to better understand anthropogenic threats, e.g., marine development and climate change. The objective of our study was to investigate the winter movement patterns and habitat use of Black Scoters in the Atlantic Ocean by quantifying the following key movement indices: number of wintering sites, arrival and departure dates to and from the wintering grounds, days at a wintering site, area of a wintering site, distance between wintering sites, and differences in habitat features of wintering sites. We also tested if winter movement patterns varied by sex or along a latitudinal gradient. To quantify winter movement patterns of Black Scoters, we used satellite telemetry data from 2009 to 2012 (n = 29 tagged females and 15 males for a total of 66 winter seasons, 38 female winter seasons, 28 male winter seasons). Our results indicated that the average wintering site area and distance between wintering sites varied with latitude. Wintering sites located at southern latitudes were larger and further apart than wintering sites located at more northern latitudes. Additionally, wintering sites varied in bathymetry, distance to shore, and the slope of the ocean floor at different latitudes; northern wintering sites were in deeper waters, closer to shore, and on steeper slopes than southern wintering sites. Our results suggest that habitat use may differ by latitude, indicating that habitats used in northern locations may not be representative of habitats used in more southern wintering areas. Understanding variation of habitat use along a latitudinal gradient will enable managers to focus sampling effort for Black Scoter abundance and distribution along the Atlantic coast and provide insight on the wintering ecology and movement of Black Scoters.

Connecticut, Delaware, Florida, Georgia, Maryland,

Geochemistry of soils along a transect from Central Mexico to the Pacific Coast: a pilot study for continental-scale geochemical mapping

The Mexican Geological Survey (SGM), the National Institute of Statistics, Geography and Informatics (INEGI) and the Autonomous University of San Luis Potosi (UASLP) have established a multidisciplinary team with the objective of creating a national program of geochemical mapping of soils in Mexico. This is being done as part of the North American Soil Geochemical Landscapes Project in partnership with the US Geological Survey and the Geological Survey of Canada. As the first step, a pilot study was conducted over a transect that extends from the Mexico&ndash;US border near Ciudad Juarez in the north to the Pacific Ocean in the south. This pilot transect was conducted in two phases, and this paper presents results from the first phase, which sampled soils at about a 40-km spacing along a 730-km transect beginning in Central Mexico and ending at the Pacific Coast. Samples were collected from the A and C horizons at each site and 60 elements were analyzed. This pilot study demonstrates that geochemical mapping based on a 40-km spacing is adequate to identify broad-scale geochemical patterns. Geologic influence (i.e., soil parent material) was the most important factor influencing the distribution of elements along the transect, followed by the influence of regional mineralization. The study also showed that influence by human activities over the transect is minimal except possibly in large mining districts. A comparison of element abundance in the A horizon with the environmental soil guidelines in Mexico showed that the natural concentrations of the studied soils were lower than the established threshold for soil restoration with the exception of V and As. The former had a median value (75 mg/kg) approximately equal to the value established in Mexico for soil restoration in agricultural and residential lands (78 mg/kg), and the latter had three values higher than the 22 mg/kg threshold for soil restoration in agricultural and residential lands. These cases demonstrate the importance of knowing the national- and regional-scale geochemistry of Mexican soils as a support for the decision-making process, particularly for the proper formulation and application of soil guidelines designed to protect human and ecosystem health.

Applied Geochemistry

A framework for the probabilistic analysis of meteotsunamis

A probabilistic technique is developed to assess the hazard from meteotsunamis. Meteotsunamis are unusual sea-level events, generated when the speed of an atmospheric pressure or wind disturbance is comparable to the phase speed of long waves in the ocean. A general aggregation equation is proposed for the probabilistic analysis, based on previous frameworks established for both tsunamis and storm surges, incorporating different sources and source parameters of meteotsunamis. Parameterization of atmospheric disturbances and numerical modeling is performed for the computation of maximum meteotsunami wave amplitudes near the coast. A historical record of pressure disturbances is used to establish a continuous analytic distribution of each parameter as well as the overall Poisson rate of occurrence. A demonstration study is presented for the northeast U.S. in which only isolated atmospheric pressure disturbances from squall lines and derechos are considered. For this study, Automated Surface Observing System stations are used to determine the historical parameters of squall lines from 2000 to 2013. The probabilistic equations are implemented using a Monte Carlo scheme, where a synthetic catalog of squall lines is compiled by sampling the parameter distributions. For each entry in the catalog, ocean wave amplitudes are computed using a numerical hydrodynamic model. Aggregation of the results from the Monte Carlo scheme results in a meteotsunami hazard curve that plots the annualized rate of exceedance with respect to maximum event amplitude for a particular location along the coast. Results from using multiple synthetic catalogs, resampled from the parent parameter distributions, yield mean and quantile hazard curves. Further refinements and improvements for probabilistic analysis of meteotsunamis are discussed.

Natural Hazards

Identification of the Gulf of Mexico as an important high-use habitat for leatherback turtles from Central America

Endangered leatherback sea turtles ( Dermochelys coriacea ) are wide-ranging, long-distance migrants whose movements are often associated with environmental cues. We examined the spatial distribution and habitat use for 33 satellite-tracked leatherbacks from nesting beaches on the Caribbean coast of Costa Rica and Panama from 2004 to 2018, an important nesting population for the leatherback Northwest Atlantic Distinct Population Segment. Tracking revealed the use of two distinct regions, the Gulf of Mexico (GoM, n = 18) and the North Atlantic Ocean (NAO, n = 15). We developed density utilization maps to elucidate high-use habitats, migration pathways, and seasonal movements. GoM leatherbacks were found in three concentrated high-use habitats connected by a migration pathway, while NAO leatherbacks were primarily found in a single, large high-use habitat. Leatherbacks in both regions have the potential to interact with Atlantic pelagic longline fisheries based on seasonal overlap with high fishing effort. Our findings suggest that the GoM is an important destination for leatherbacks from the Caribbean coast of Central America with seasonal movements between high-use habitats within the GoM. While leatherbacks are utilizing high-use habitats in both the NAO and the GoM, the proportion of individuals migrating into the GoM increased over the study period. Additionally, NAO leatherbacks have increased the distance they travel in the first 90 d. Regional differences in movement and spatial distribution of high-use habitats are important considerations when developing conservation plans for the Northwest Atlantic leatherback population.

Ecosphere

Storm surge modeling and applications in coastal areas

This chapter introduces the reader to a wide spectrum of storm surge modeling systems used to assess the impact of tropical cyclones, covering a range of numerical methods, model domains, forcing and boundary conditions, and purposes. New technologies to obtain data such as deployment of temporary sensors and remote sensing practices to support modeling are also presented. Extensive storm surge modeling applications have been made with existing modeling systems and some of them are described in this chapter. The authors recognize the importance of evaluating river-ocean interactions in coastal environments during tropical cyclones. Therefore, the coupling of hydraulic (riverine) and storm surge models is discussed. In addition, results from studies performed in the coast of India are shown which generated maps to help emergency managers and reduce risk due to coastal inundation.

Book chapter

Hydrogeologic framework of the New Jersey coastal plain

Results are presented of a water-resources-oriented subsurface mapping program within the Coastal Plain of New Jersey. The occurrence and configuration of 15 regional hydrogeologic units are defined based primarily on the interpretation of borehole geophysical data. The nine aquifers and six confining beds are composed of unconsolidated clay, silt, sand, and gravel and range in age from Cretaceous to Quaternary. Electric and gamma-ray logs from more than 1,000 Coastal Plain wells were examined. Of these, interpretive data for 302 sites, selected for log depth, quality, and distribution, were used to prepare structure contour and thickness maps for each aquifer, and a thickness map for each confining bed. These maps, along with 14 hydrogeologic sections, show the geometry, lateral extent, and vertical and horizontal relationships among the 15 hydrogeologic units. The hydrogeologic maps and sections show that distinct lower, middle, and upper aquifers are present within the Potomac- Raritan-Magothy aquifer system near the Delaware River from Burlington County to Salem County. Although the lower aquifer is recognized only in this area, the middle aquifer extends into the northeastern Coastal Plain of New Jersey where it is stratigraph ically equivalent to the Farrington aquifer. The upper aquifer extends throughout most of the New Jersey Coastal Plain and is stratigraphically equivalent to the Old Bridge aquifer in the northeastern Coastal Plain. The overlying Merchantville-Woodbury confining bed is the most regionally extensive confining bed within the Coastal Plain of New Jersey. Its thickness ranges from less than 100 feet near the outcrop to more than 450 feet along the coast. The Englishtown aquifer system acts as a single aquifer throughout most of its subsurface extent, but contains two water-bearing sands in parts of Monmouth and Ocean Counties. The overlying Marshalltown-Wenonah confining bed is a thin, leaky unit ranging in thickness from approximately 20 to 80 feet. The Wenonah-Mount Laurel aquifer is identified in the subsurface throughout the New Jersey Coastal Plain southeast of its outcrop area. Sediments that overlie the Wenonah-Mount Laurel aquifer and that are subjacent to the major aquifers within the Kirkwood Formation and Cohansey Sand are described hydrologically as a composite confining bed. These include the Navesink Formation, Red Bank Sand, Tinton Sand, Hornerstown Sand, Vincentown Forma- tion, Manasquan Formation, Shark River Formation, Piney Point Formation, and the basal clay of the Kirkwood Formation. The Vincentown Formation functions as an aquifer within 3 to 10 miles downdip of its outcrop area. In areas farther downdip the Vincentown Formation functions as a confining bed. The Piney Point aquifer is laterally persistent from the southern New Jersey Coastal Plain northward into parts of Burlington and Ocean Counties. The Atlantic City 800-foot sand of the Kirkwood Formation can be recognized in the subsurface along coastal areas of Cape May, Atlantic, and southern Ocean Counties, but inland only as far west as the extent of the overlying confining bed. In areas west of the extent of the overlying confining bed, the Kirkwood Formation is in hydraulic connection with the overlying Cohansey Sand and younger surficial deposits and functions as an unconfined aquifer. (USGS)

New Jersey

Distribution and transmission of the highly pathogenic parasite Ichthyophonus in marine fishes of Alaska

A combination of field surveys, molecular typing, and laboratory experiments were used to improve our understanding of the distribution and transmission mechanisms of fish parasites in the genus Ichthyophonus . Ichthyophonus spp. infections were detected from the Bering Sea to the coast of Oregon in 10 of 13 host species surveyed. Sequences of rDNA extracted from these isolates indicate that a ubiquitous Ichthyophonus type occurs in the NE Pacific Ocean and Bering Sea and accounts for nearly all the infections encountered. Among NE Pacific isolates, only parasites from yellowtail rockfish and Puget Sound rockfish varied at the DNA locus examined. These data suggest that a single source population of these parasites is available to fishes in diverse niches across a wide geographic range. A direct life cycle within a common forage species could account for the relatively low parasite diversity we encountered. In the laboratory we tested the hypothesis that waterborne transmission occurs among Pacific herring, a common NE Pacific forage species. No horizontal transmission occurred during a four-month cohabitation experiment involving infected herring and conspecific sentinels. The complete life cycle of Ichthyophonus spp. is not known, but these results suggest that system-wide processes maintain a relatively homogenous parasite population.

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