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At least 379 records · Page 21Linked to original sources

A life history study of the yellow throat

Investigations concerning the life history of the Yellow-throat were made in southern Michigan during the spring and summer of 1938. Supplementary information was also obtained at Arlington, Virginia, in 1940 and at the Patuxent Research Refuge, Maryland, in 1947.....Resident males established territories almost immediately upon arrival in spring. In southern Michigan some resident males arrived at least as soon as, if not before, transient males. Most females appeared on their nesting ground about a week later. Adults were engaged in nesting activities from the time of their arrival in spring until the advent of the post-nuptial molt in late summer.....Typical Yellow-throat habitat consists of a mixture of a dense herbaceous vegetation and small woody plants in damp or wet situations. At Ann Arbor, the Yellow-throat was a common breeding species in its restricted suitable habitat. The population density in one area of suitable habitat was about 69 territorial males per 100 acres. Of 11 territorial males that were intensively studied, one was polygamous (with two mates), nine were monogamous, and one was probably monogamous (with at least one mate).....The song of the individual Yellow-throat was heard throughout the breeding season except for the courtship period. Two major types of song were the common song given while perched, and an occasional, more elaborate, flight song. Most males sing in spurts, singing at fairly regular intervals for a considerable period and then abruptly ceasing for another period. The vocabulary of both sexes included several types of call notes that appeared either to have special functions or to represent outward expressions of distinct emotional states of the bird.....Resident males were antagonistic toward each other throughout the breeding season. Most remained on well-established territories during this period. Territories of 10 monogamous males ranged in size from .8 to 1.8 acres but the territory of one polygamous male occupied. 3.4 acres. The behavior of males during inter-territorial encounters was similar in some respects to their behavior when courting females.....While courting females, the males are very attentive and seldom sing for about one week. During the courtship period the female locates the nesting site and builds the nest without assistance from the male.....Nests, constructed of dried plant materials, were situated on or near the ground and were supported on all sides by stems of herbaceous plants or limbs of shrubs. Many nests were composed of three layers with the coarser materials being used in the outer layer.....The full clutch of eggs in 12 nests ranged from 4 to 6 (average, 4.6). Early clutches seem to be larger than later ones. After the first egg is laid, one is laid on each succeeding day until the clutch is complete. Incubation period is about 12 days. Incubation is only by the female. Records of daytime incubation schedules of three females about half way through incubation indicate that the periods spent on and off the nests average about 61 and 16 minutes, respectively.....Young Yellow-throats usually remain in the nest for eight or nine days. During this period they grow and develop rapidly. Their weight quintuples in six days. Both sexes are active in feeding the young and in removing excreta from the nest. Records of feeding at three nests showed a range of one feeding per 5 1/2 minutes to one feeding per 22 minutes, the rate increasing with age of young. Adults care for the young for at least two weeks after the young leave the nest.....Ten of 12 females that were intensively studied were successful in raising young beyond the nestling stage. Only one of these raised two broods, although three females built at least three nests each. In 19 nests, 11 (58 per cent) produced nestlings and 7 (37 per cent) produced fledglings. In total, the 19 nests produced an average of one fledgling Yellow-throat per nest. Of 22 nests that were found near Ann Arbor, 10 (45

The Wilson Bulletin

Tracing hydrologic pathways at the Panola Mountain research watershed, Georgia, USA

An analysis of Cl- concentrations and fluxes at the Panola Mountain Research Watershed indicates that Cl- may be effectively used to differentiate 'new' and 'old' water flow through the hillslope and their respective contributions to streamwater. Rainfall and throughfall, the 'new' water inputs, are marked by low Cl- concentrations (15 ??eq 1-1). Stormwater moves rapidly to depth along preferred pathways in a deciduous forest hillslope, as evidenced by low concentrations (20 ??eq 1-1) in mobile soil water from zero-tension stainless-steel pan lysimeters. 'Old' waters, matrix soil waters and groundwater, typically have high concentrations (20 ??eq 1-1). Timing of soil water transport is not sufficiently rapid to suggest that soil water from the hillslope contributes to streamwater for an individual rainstorm. The source of streamflow, therefore, must be a combination of channel interception, runoff from near-channel areas, and runoff from a 3-ha bedrock outcrop in the headwaters. Groundwater contribution to streamflow was estimated using Cl- concentrations of throughfall and groundwater as the two end members for a two-component hydrograph separation. For the study period, groundwater contributed 79% of the runoff and from 1985 to 1995, contributed 75% of the runoff. Rainfall was the source of 45% of the Cl- flux from the watershed in the long term; the remaining Cl- is hypothesized to be derived from dry deposition, consistent with the enrichment noted for throughfall. At peak flow during individual rainstorms, 'new' water can contribute 95% of the runoff.

Hydrochemistry. Proc. international symposium, Rab

Evidence for degassing of fresh magma during the 2004-2008 eruption of Mount St. Helens: Subtle signals from the hydrothermal system

Results from chemical and isotopic analyses of water and gas collected between 2002 and 2016 from sites on and around Mount St. Helens are used to assess magmatic degassing related to the 2004-2008 eruption. During 2005 the chemistry of hot springs in The Breach of Mount St. Helens showed no obvious response to the eruption, and over the next few years, changes were subtle, giving only slight indications of perturbations in the system. By 2010 however, water chemistry, temperatures, and isotope compositions (δD and δ 18 O) clearly indicated some inputs of volatiles and heat associated with the eruption, but the changes were such that they could be attributed to a pre-existing, gas depleted magma. An increase of ~ 1.5‰ in the δ 13 C values of dissolved carbon in the springs was noted in 2006 and continued through 2009, a change that was mirrored by a similar shift in δ 13 C-CO 2 in bubble gas emissions. These changes require input of a new source of carbon to the hydrothermal system and provide clear evidence of CO 2 from an undegassed body of magma. Rising trends in 3 He/ 4 He ratios in gas also accompanied the increases in δ 13 C. Since 2011 maximum R C /R A values are ≥ 6.4 and are distinctly higher than 5 samples collected between 1986 and 2002, and provide additional evidence for some involvement of new magma as early as 2006, and possibly earlier, given the unknown time needed for CO 2 and He to traverse the system and arrive at the springs.

Washington

Early life history and spatiotemporal changes in distribution of the rediscovered Suwannee moccasinshell Medionidus walkeri (Bivalvia: Unionidae)

Accurate distribution data are critical to the development of conservation and management strategies for imperiled species, particularly for narrow endemics with life history traits that make them vulnerable to extinction. Medionidus walkeri is a rare freshwater mussel endemic to the Suwannee River Basin in southeastern North America. This species was rediscovered in 2012 after a 16-year hiatus between collections and is currently proposed for listing under the Endangered Species Act. Our study fills knowledge gaps regarding changes in distribution and early life history requirements of M . walkeri . Spatiotemporal changes in M. walkeri distribution were displayed using a conservation status assessment map incorporating metadata from 98 historical (1916–1999) and 401 recent (2000–2015) site surveys from museums and field notes representing records for 312 specimens. Recent surveys detected M . walkeri only in the middle Suwannee subbasin (n = 86, 22 locations) and lower Santa Fe subbasin (n = 2, 2 locations), and it appears the species may be extirpated from 67% of historically occupied 10-digit HUCs. In our laboratory experiments, M . walkeri successfully metamorphosed on Percina nigrofasciata (56.2% ± 8.9) and Etheostoma edwini (16.1% ± 7.9) but not on Trinectes maculatus , Lepomis marginatus , Notropis texanus , Noturus leptacanthus , Etheostoma fusiforme , or Gambusia holbrooki . We characterize M . walkeri as a lure-displaying host fish specialist and a long-term brooder (bradytictic), gravid from fall to early summer of the following year. The early life history and distribution data presented here provide the baseline framework for listing decisions and future efforts to conserve and recover the species.

Endangered Species Research

History of earthquakes and vertical ground movement in Campi Flegrei caldera, Southern Italy: comparison of precursory events to the A.D. 1538 eruption of Monte Nuovo and of activity since 1968

The record of felt earthquakes around Naples Bay in southern Italy is probably complete since the mid-15th century. According to this record, intense earthquake swarms originating beneath Campi Flegrei, an explosive caldera located along the north coast of Naples Bay, have occurred only twice: (1) before the only historical eruption in Campi Flegrei in 1538; and (2) from mid-1983 to December 1984. Earthquake activity during the earlier period, which began at least a few years, and possibly as many as 30 years, before the 1538 eruption, damaged many buildings in the city of Pozzuoli, located near the center of Campi Flegrei. Minor seismic activity, which consisted of only a few felt earthquakes, occurred from 1970 to 1971. The second period of intense earthquake swarms lasted from mid-1983 to 1984, again damaging many buildings in Pozzuoli. Two periods of uplift along the shoreline within Campi Flegrei have also been noted since the mid-15th century: (1) during the few decades before the 1538 eruption; and (2) as two distinct episodes since 1968. Uplift of a few meters probably occurred a few decades before the 1538 eruption; uplift of as much as 3.0 m has occurred in Pozzuoli since 1968. These similarities strongly suggest that, for the first time in 440 years, the same process that caused intense local earthquake swarms and uplift in the early 1500's and led to an eruption in 1538, has again occurred beneath Campi Flegrei. Though no major seismicity or uplift has occurred since December 1984, because of the large amount of extensional strain accumulated during the past two decades, if a third episode of seismicity and rapid uplift occurs, it may lead to an eruption within several months after the resumption of activity. ?? 1991.

Journal of Volcanology and Geothermal Research

Collision and displacement vulnerability among marine birds of the California Current System associated with offshore wind energy infrastructure

With growing climate change concerns and energy constraints, there is an increasing need for renewable energy sources within the United States and globally. Looking forward, offshore wind-energy infrastructure (OWEI) has the potential to produce a significant proportion of the power needed to reach our Nation’s renewable energy goal. Offshore wind-energy sites can capitalize open areas within Federal waters that have persistent, high winds with large energy production potential. Although there are few locations in the California Current System (CCS) where it would be acceptable to build pile-mounted wind turbines in waters less than 50 m deep, the development of technology able to support deep-water OWEI (>200 m depth) could enable wind-energy production in the CCS. As with all human-use of the marine environment, understanding the potential impacts of wind-energy infrastructure on the marine ecosystem is an integral part of offshore wind-energy research and planning. Herein, we present a comprehensive database to quantify marine bird vulnerability to potential OWEI in the CCS (see https://doi.org/10.5066/F79C6VJ0 ). These data were used to quantify marine bird vulnerabilities at the population level. For 81 marine bird species present in the CCS, we created three vulnerability indices: Population Vulnerability, Collision Vulnerability, and Displacement Vulnerability. Population Vulnerability was used as a scaling factor to generate two comprehensive indicies: Population Collision Vulnerability (PCV) and Population Displacement Vulnerability (PDV). Within the CCS, pelicans, terns (Forster’s [ Sterna forsteri ], Caspian [ Hydroprogne caspia ], Elegant [ Thalasseus elegans ], and Least Tern [ Sternula antillarum ]), gulls (Western [ Larus occidentalis ] and Bonaparte’s Gull [ Chroicocephalus philadelphia ]), South Polar Skua ( Stercorarius maccormicki ), and Brandt’s Cormorant ( Phalacrocorax penicillatus ) had the greatest PCV scores. Brown Pelican ( Pelicanus occidentalis ) had the greatest overall PCV score. Some alcids (Scripps’s Murrelet [ Synthliboramphus scrippsi ], Marbled Murrelet [ Brachyramphus marmoratus ], and Tufted Puffin [ Fratercula cirrhata ]), terns (Elegant and Least Lern), and loons (Yellow-billed [ Gavia adamsii ] and Common Loon [ G. immer ]) had the greatest PDV scores. Ashy Storm-Petrel ( Oceanodroma homochroa ) had the greatest overall PDV score. To help inform decisions that will impact seabird conservation, vulnerability assessment results can now be combined with recent marine bird at-sea distribution and abundance data for the CCS to evaluate vulnerability areas where OWEI development is being considered. Lastly, it is important to note that as new information about seabird behavior and populations in the CCS becomes available, this database can be easily updated and modified.

Open-File Report

Vegetation classification and distribution mapping report: Mesa Verde National Park

The classification and distribution mapping of the vegetation of Mesa Verde National Park (MEVE) and surrounding environment was achieved through a multi-agency effort between 2004 and 2007. The National Park Service’s Southern Colorado Plateau Network facilitated the team that conducted the work, which comprised the U.S. Geological Survey’s Southwest Biological Science Center, Fort Collins Research Center, and Rocky Mountain Geographic Science Center; Northern Arizona University; Prescott College; and NatureServe. The project team described 47 plant communities for MEVE, 34 of which were described from quantitative classification based on f eld-relevé data collected in 1993 and 2004. The team derived 13 additional plant communities from field observations during the photointerpretation phase of the project. The National Vegetation Classification Standard served as a framework for classifying these plant communities to the alliance and association level. Eleven of the 47 plant communities were classified as “park specials;” that is, plant communities with insufficient data to describe them as new alliances or associations. The project team also developed a spatial vegetation map database representing MEVE, with three different map-class schemas: base, group, and management map classes. The base map classes represent the fi nest level of spatial detail. Initial polygons were developed using Definiens Professional (at the time of our use, this software was called eCognition), assisted by interpretation of 1:12,000 true-color digital orthophoto quarter quadrangles (DOQQs). These polygons (base map classes) were labeled using manual photo interpretation of the DOQQs and 1:12,000 true-color aerial photography. Field visits verified interpretation concepts. The vegetation map database includes 46 base map classes, which consist of associations, alliances, and park specials classified with quantitative analysis, additional associations and park specials noted during photointerpretation, and non-vegetated land cover, such as infrastructure, land use, and geological land cover. The base map classes consist of 5,007 polygons in the project area. A field-based accuracy assessment of the base map classes showed overall accuracy to be 43.5%. Seven map classes comprise 89.1% of the park vegetated land cover. The group map classes represent aggregations of the base map classes, approximating the group level of the National Vegetation Classification Standard, version 2 (Federal Geographic Data Committee 2007), and reflecting physiognomy and floristics. Terrestrial ecological systems, as described by NatureServe (Comer et al. 2003), were used as the fi rst approximation of the group level. The project team identified 14 group map classes for this project. The overall accuracy of the group map classes was determined using the same accuracy assessment data as for the base map classes. The overall accuracy of the group representation of vegetation was 80.3%. In consultation with park staff , the team developed management map classes, consisting of park-defined groupings of base map classes intended to represent a balance between maintaining required accuracy and providing a focus on vegetation of particular interest or import to park managers. The 23 management map classes had an overall accuracy of 73.3%. While the main products of this project are the vegetation classification and the vegetation map database, a number of ancillary digital geographic information system and database products were also produced that can be used independently or to augment the main products. These products include shapefiles of the locations of field-collected data and relational databases of field-collected data.

Mesa Verde National Park

On near-source earthquake triggering

[1] When one earthquake triggers others nearby, what connects them? Two processes are observed: static stress change from fault offset and dynamic stress changes from passing seismic waves. In the near-source region ( r ≤ 50 km for M ∼ 5 sources) both processes may be operating, and since both mechanisms are expected to raise earthquake rates, it is difficult to isolate them. We thus compare explosions with earthquakes because only earthquakes cause significant static stress changes. We find that large explosions at the Nevada Test Site do not trigger earthquakes at rates comparable to similar magnitude earthquakes. Surface waves are associated with regional and long-range dynamic triggering, but we note that surface waves with low enough frequency to penetrate to depths where most aftershocks of the 1992 M = 5.7 Little Skull Mountain main shock occurred (∼12 km) would not have developed significant amplitude within a 50-km radius. We therefore focus on the best candidate phases to cause local dynamic triggering, direct waves that pass through observed near-source aftershock clusters. We examine these phases, which arrived at the nearest (200–270 km) broadband station before the surface wave train and could thus be isolated for study. Direct comparison of spectral amplitudes of presurface wave arrivals shows that M ∼ 5 explosions and earthquakes deliver the same peak dynamic stresses into the near-source crust. We conclude that a static stress change model can readily explain observed aftershock patterns, whereas it is difficult to attribute near-source triggering to a dynamic process because of the dearth of aftershocks near large explosions.

Journal of Geophysical Research B: Solid Earth

Lead and strontium isotopes and related trace elements as genetic tracers in the Upper Cenozoic rhyolite-basalt association of the Yellowstone Plateau volcanic field

Supported by various field geologic and petrologic data, the contents of Pb, U, Th, Rb, and Sr and the isotopic compositions of Pb and Sr for upper Cenozoic volcanic rocks of the Yellowstone Plateau volcanic field are consistent with the hypothesis of derivation of the basaltic and rhyolitic magmas by partial melting of distinct source regions in the upper mantle and lower crust, respectively. All the basalt samples analyzed but one have systematically lower values of 207 Pb/ 204 Pb and 87 Sr/ 86 Sr than the rhyolites. The values of 206 Pb/ 204 Pb are smaller, and 87 Sr/ 86 Sr are mostly larger than known values in oceanic basalts. In all but one case, the values of 207 Pb/ 204 Pb are higher than expected from an extrapolation of known values in oceanic basalts to less radiogenic values of 206 Pb/ 204 Pb. Because there are no xenoliths, phenocrysts are only moderate to sparse in abundance, REE patterns are low and flat at the radiogenic end of lead isotopic compositions, several values of Rb/Sr are low, and 80% of the basalt samples form a well-developed secondary isochron separate from the rhyolites, we favor an interpretation for basalt genesis wherein isotopic signatures of most mafic magmas were attained in a continental ‘keel’ of mantlelike character about 2.6 b.y. old or somewhat older attached to the crust, and these signatures were unaltered by magma passage through the crust. At the very least, the current data continue to cast serious doubt as to the inevitability of crustal contamination for basaltic magma intruding the continental environment and postulate that much can be learned about the mantle under continents through the study of continental basalts. One basalt unit with an unusually low value of 207 Pb/ 204 Pb and an 87 Ar/ 86 Ar less than 0.704 may represent subcontinental ‘keel’-derived magma that rose unaltered to the surface. Our data also are not consistent with formation of this rhyolite-basalt association primarily by such processes as crystal fractionation, separation of immiscible silicate liquids from a common parental magma, or fractional melting of a homogeneous source. Rather as a conceptual model, we envision large mafic intrusions to have been injected into the lower crust resulting in rhyolite generation through partial anatexis of the adjacent wall rocks which probably had a 206 Pb/ 204 Pb < 17 and 87 Sr/ 86 Sr > 0.709; a model that has much in common with that proposed by Holmes (1931). All the other hypotheses listed have the necessary added complication that either the basalt or the rhyolite or both become contaminated after the two magma types separated, have problems accounting for the lack of igneous rocks of intermediate compositions or production of such large volumes of rhyolitic material (∼5000 km 3 ), and fail to explain why rhyolitic magma is not a more common occurrence in the ocean basin. We appeal to bouyancy of rhyolites to generate a barrier for basalt magma migration and account for the great preponderance of rhyolite relative to basalt at the surface. Furthermore, the complex isotopic picture in the rhyolites indicates that many of these magmas interacted with the upper crustal geologic units that they traversed. The interactions involved diverse processes, probably including reacton with hydrothermal fluids or hydrothermally altered rocks at high levels as well as by contamination with Phanerozoic sedimentary and Precambrian crystalline rocks at deeper levels. At the very least, we feel our study adds a cautionary note to the currently increasingly popular hypothesis that differentiation of basalt or gabbro magmas to rhyolite or granite (as distinct from tonalite or dacite) is a common occurrence and is therefore an important continential building process. Models for formation of rhyolite and granite predominantly by reworking of crust (anatexis) must still be considered. The primitive Archean mantle of the region was characterized by higher Rb/Sr, U/Pb, and Th/U values than are typical of modern suboceanic mantle. The mantle residuum within the continental subcrustal lithosperic ‘keel’ that resulted from the Archean crustal differentiation event probably was depleted in Rb/Sr and U/Pb, and the crust was correspondingly enriched in these ratios. The crust probably was further differentiated by an Archean high-grade metamorphism, during or after the primary event, into a granulitic lower crust depleted in U/Pb and Rb/Sr and a lower-grade upper crust enriched in these ratios.

Journal of Geophysical Research Solid Earth

Recent movement on the Garlock Fault as suggested by water level fluctuations in a well in Fremont Valley, California

Water levels have been continuously recorded since March 1978 in a well in Fremont Valley, where several strands of the adjacent Garlock fault zone have exhibited both left-lateral displacement and components of normal displacement. Differences in water levels indicate that a fault segment lies between the observation well and a nearby irrigation well. During the 4-year recording period, six sharp fluctuations, or “spikes,” were noted. These fluctuations, occurring over 2- to 4-day periods, have amplitudes of 15–30 cm. They appear to be the result of creep events on a nearby fault. Two types of creep events are plausible: (1) normal slip on an en echelon trace of the Garlock fault less than 300 m south of the well, with the north side up relative to Fremont Valley or (2) left-lateral slip on the same fault. Because of the nature of the fluctuations we favor the latter interpretation. Dislocation models utilizing exponential, arc tangent, and skewed cosine functions were used to analyze the water level fluctuations, associated pressure distribution, and fault displacements. The results suggest that creep on the fault ranges from several millimeters to a centimeter for individual events. Estimates of cumulative creep for the period 1978–1982 range from 20 to 50 mm, depending on the particular model employed.

Journal of Geophysical Research Solid Earth

Sage-grouse

In this chapter, we summarize the ecology and conservation issues affecting greater ( Centrocercus urophasianus ) and Gunnison ( C . minimus ) sage-grouse, iconic and obligate species of rangelands in the sagebrush ( Artemisia spp.) biome in western North America. Greater sage-grouse are noted for their ability to migrate, whereas Gunnison sage-grouse localize near leks year-round. Seasonal habitats include breeding habitat where males display at communal leks, nesting habitat composed of dense sagebrush and herbaceous plants to conceal nests, mesic summer habitats where broods are reared, and winter habitat, characterized by access to sagebrush for cover and forage. While two-thirds of sage-grouse habitat occurs on public lands, private land conservation is the focus of national groups including the USDA-NRCS Sage-Grouse Initiative. Sage-grouse are a species of great conservation concern due to population declines associated with loss and fragmentation of more than half of the sagebrush biome. Wildlife and land management agencies have been increasingly proactive in monitoring trends in sage-grouse populations (e.g., lek count index), adapting regulations to reduce harvest on declining populations, and in designing and implementing conservation policies such as core areas to conserve sage-grouse habitats and populations. Much of the remaining sagebrush habitat is threatened by altered fire regimes, invasive annual grasses and noxious weeds, encroaching piñon ( Pinus edulis and monophylla )-juniper ( Juniperus spp.) woodlands, sagebrush conversion, anthropogenic development, and climate change. Several diseases affect sage-grouse, but to date, disease has not been a widespread cause of declines. Proper livestock grazing and limited hunting appear to be sustainable with sage-grouse, whereas improper grazing, increasing free-roaming equid populations, and sagebrush conversion are primary concerns for future conservation. Research has identified additional concerns for sage-grouse including effects from fence collisions, predation from common ravens ( Corvus corax ), and reduced habitat effectiveness resulting from grouse avoidance of anthropogenic infrastructure. There is a need for future research evaluating sage-grouse habitat restoration practices following improper rangeland management, habitat alteration from invasive species and fire, effects on small and isolated populations, and effects from diseases.

Book chapter

An Analysis of the Population Dynamics of Selected Avian Species--With Special References to Changes During the Modern Pesticide Era

The impact of pesticides on the mortality rates and recruitment rates of nongame birds during the last 25 years was evaluated by studying the population dynamics of 16 species. A mathematical model showing the relations between population parameters that yielded stable populations was developed. The information needed for the model included (1) mortality rate schedule (obtained from recoveries of banded birds), (2) recruitment rates, and (3) the age of sexual maturity. The rate of recruitment necessary for a stable population and/or the annual rate of change (increase or decrease) in population levels were estimated. Population parameters were compared to determine whether changes had occurred between time periods (i.e., 1925-45 vs. 1946-65). The great horned owl, red-shouldered hawk, sparrow hawk, osprey, barn owl, Cooper's hawk, red-tailed hawk, great blue heron, blackcrowned night heron, brown pelican, barn swallow, chimney swift, blue jay, blackcapped chickadee, cardinal, and robin were subjected to this analysis. No increase in postfledging mortality rates in any of the species was detected during the last 25 years (since 1945). Since there was no evidence of increased mortality rates it was concluded that accelerated declines in several of the species studied resulted from lowered reproductive success. Mortality rates were found to have decreased in the Cooper's hawk, sparrow hawk, great blue heron, and brown pelican and this was associated with a decrease in shooting pressure. Evidence of lower recruitment rates was found in the brown pelican, osprey, Cooper's hawk, red-shouldered hawk, and sparrow hawk. No changes in recruitment rates were noted in the red-tailed hawk, great horned owl, great blue heron, or barn owl. Information on recruitment rates was not available for comparison with the other species although rates of recruitment essential for a stable population were estimated. This work will provide the basis for making comparisons in future studies. No change in recruitment rates was apparent among species feeding primarily on mammals. Species exhibiting a lowered reproductive success since 1945 were those whose major food items consisted of fish, reptiles, amphibians, or birds. Lowered reproductive success was accompanied by a decrease in eggshell thickness. Other investigators have reported that sparrow hawks and mallard ducks fed a diet of DDE and dieldrin have produced thin eggshells under laboratory conditions, and exhibited a lower, reproductive success. Many of the bird species that have declined are those that consume food in which chlorinated hydrocarbon pesticides have been concentrated through a series of transfers along food chains. The chlorinated hydrocarbon pesticides are believed responsible.

Wildlife Research Report

Notes on the origin of Colluma Crater, Bolivia

Colluma Crater, on the semiarid Altiplano (high plain) of western Bolivia, is an oval structure having overall dimensions of 6.7 km by 6.0 km. The structure has two almost concentric cuestaform rims (the inner rim is 3.6 km by 3.1 km) composed of poorly consolidated clastic sediments that dip outward. The center of the crater is about 80 m below the maximum height of the rims and about at the altitude of the surrounding plain. Because of the double rim, the centripetal drainage, and the absence of volcanic rocks, this structure is considered a collapsed dome. We believe it was probably formed by the doming of lower Quaternary (?) sediments by a subjacent igneous intrusion, partial retreat of the magma, collapse of the central part of the dome, erosional etching of the two rims, and partial filling of the center by detritus from the walls. Evidence for origin by impact (nickel-iron materials, shock structures, ejecta, and so forth) is lacking or was unrecognized, but this mode of origin is not rejected at this time. Geophysical surveys are recommended to determine whether the structure continues in depth and if an igneous, plug is below the crater.

Colluma Crater

Geologic map of the Providence Mountains in parts of the Fountain Peak and adjacent 7.5' quadrangles, San Bernardino County, California

Introduction The Providence Mountains are in the eastern Mojave Desert about 60 km southeast of Baker, San Bernardino County, California. This range, which is noted for its prominent cliffs of Paleozoic limestone, is part of a northeast-trending belt of mountainous terrain more than 100 km long that also includes the Granite Mountains, Mid Hills, and New York Mountains. Providence Mountains State Recreation Area encompasses part of the range, the remainder of which is within Mojave National Preserve, a large parcel of land administered by the National Park Service. Access to the Providence Mountains is by secondary roads leading south and north from Interstate Highways 15 and 40, respectively, which bound the main part of Mojave National Preserve. The geologic map presented here includes most of Providence Mountains State Recreation Area and land that surrounds it on the north, west, and south. This area covers most of the Fountain Peak 7.5′ quadrangle and small adjacent parts of the Hayden quadrangle to the north, the Columbia Mountain quadrangle to the northeast, and the Colton Well quadrangle to the east. The map area includes representative outcrops of most of the major geologic elements of the Providence Mountains, including gneissic Paleoproterozoic basement rocks, a thick overlying sequence of Neoproterozoic to Triassic sedimentary rocks, Jurassic rhyolite that intrudes and overlies the sedimentary rocks, Jurassic plutons and associated dikes, Miocene volcanic rocks, and a variety of Quaternary surficial deposits derived from local bedrock units. The purpose of the project was to map the area in detail, with primary emphasis on the pre-Quaternary units, to provide an improved stratigraphic, structural, and geochronologic framework for use in land management applications and scientific research.

California

Bitumen prices and structural changes in North American crude oil markets

In an earlier report, changes in bitumen prices at Hardesty, Alberta, Canada, were modeled as the responses to changes in monthly prices of Hardesty light/medium crude oil for the period 2000–2006 with a simple error correction econometric model. This note re-examines that price relationship for the period 2009–2014. Over the period 2006–2014, there was also rapid growth in North American light oil production from low-permeability carbonate, sandstone, and shale reservoirs. During that period, Canadian raw bitumen production grew by more than 12% per year and there was significant geographical diversification in its markets. Results of the statistical analysis showed that the change in the dynamic relationships between bitumen prices and Hardesty light oil prices probably reflected, in part, the maturation of bitumen markets and closer integration with North American light oil markets. The analysis also examines the dynamic relationships between bitumen prices and West Texas Intermediate and Brent international benchmark crude oil prices. Ideally, if bitumen prices are found to be closely related to a widely traded benchmark crude oil, the benchmark crude oil price forecasts could be used as a basis for predicting bitumen prices. However, neither of international benchmark crude oils tested had high explanatory power.

Natural Resources Research

Strontium 87/strontium 86 as a tracer of mineral weathering reactions and calcium sources in an alpine/subalpine watershed, Loch Vale, Colorado

Sr isotopic ratios of atmospheric deposition, surface and subsurface water, and geologic materials were measured in an alpine/subalpine watershed to characterize weathering reactions and identify sources of dissolved Ca in stream water. Previous studies have noted an excess of Ca in stream water above that expected from stoichiometric weathering of the dominant bedrock minerals. Mixing calculations based on 87 Sr/ 86 Sr indicate that on an annual basis, 26 ± 7% of Ca export in streams is atmospherically derived, 23 ± 1% is from weathering of plagioclase, and the remainder is from weathering of calcite present in trace amounts in the bedrock. A potential source of error when applying Sr isotopes in catchment studies is determination of the 87 Sr/ 86 Sr of Sr released by mineral weathering, which is complicated by the wide range of mineral isotopic compositions, particularly in older rocks, and the variable rates at which the minerals weather. In this study, base-flow stream chemistry was used to represent the 87 Sr/ 86 Sr of Sr derived from mineral weathering because it effectively integrates the potentially variable isotopic composition of Sr released by weathering in the alpine environment.

Colorado

Effect of clay content and mineralogy on frictional sliding behavior of simulated gouges: binary and ternary mixtures of quartz, illite, and montmorillonite

We investigated the frictional sliding behavior of simulated quartz-clay gouges under stress conditions relevant to seismogenic depths. Conventional triaxial compression tests were conducted at 40 MPa effective normal stress on saturated saw cut samples containing binary and ternary mixtures of quartz, montmorillonite, and illite. In all cases, frictional strengths of mixtures fall between the end-members of pure quartz (strongest) and clay (weakest). The overall trend was a decrease in strength with increasing clay content. In the illite/quartz mixture the trend was nearly linear, while in the montmorillonite mixtures a sigmoidal trend with three strength regimes was noted. Microstructural observations were performed on the deformed samples to characterize the geometric attributes of shear localization within the gouge layers. Two micromechanical models were used to analyze the critical clay fractions for the two-regime transitions on the basis of clay porosity and packing of the quartz grains. The transition from regime 1 (high strength) to 2 (intermediate strength) is associated with the shift from a stress-supporting framework of quartz grains to a clay matrix embedded with disperse quartz grains, manifested by the development of P-foliation and reduction in Riedel shear angle. The transition from regime 2 (intermediate strength) to 3 (low strength) is attributed to the development of shear localization in the clay matrix, occurring only when the neighboring layers of quartz grains are separated by a critical clay thickness. Our mixture data relating strength degradation to clay content agree well with strengths of natural shear zone materials obtained from scientific deep drilling projects.

Journal of Geophysical Research B: Solid Earth

Airborne bacteria in Earth’s lower stratosphere resemble taxa detected in the troposphere: results from a new NASA aircraft bioaerosol collector (ABC)

Airborne microorganisms in the upper troposphere and lower stratosphere remain elusive due to a lack of reliable sample collection systems. To address this problem, we designed, installed, and flight-validated a novel Aircraft Bioaerosol Collector (ABC) for NASA's C-20A that can make collections for microbiological research investigations up to altitudes of 13.7 km. Herein we report results from the first set of science flights—four consecutive missions flown over the United States (US) from 30 October to 2 November, 2017. To ascertain how the concentration of airborne bacteria changed across the tropopause, we collected air during aircraft Ascent / Descent (0.3 to 11 km), as well as sustained Cruise altitudes in the lower stratosphere (~12 km). Bioaerosols were captured on DNA-treated gelatinous filters inside a cascade air sampler, then analyzed with molecular and culture-based characterization. Several viable bacterial isolates were recovered from flight altitudes, including Bacillus sp., Micrococcus sp., Arthrobacter sp., and Staphylococcus sp. from Cruise samples and Brachybacterium sp. from Ascent/Descent samples. Using 16S V4 sequencing methods for a culture-independent analysis of bacteria, the average number of total OTUs was 305 for Cruise samples and 276 for Ascent/Descent samples. Some taxa were more abundant in the flight samples than the ground samples, including OTUs from families Lachnospiraceae, Ruminococcaceae and Erysipelotrichaceae as well as the following genera: Clostridium, Mogibacterium, Corynebacterium, Bacteroides, Prevotella, Pseudomonas , and Parabacteroides . Surprisingly, our results revealed a homogeneous distribution of bacteria in the atmosphere up to 12 km. The observation could be due to atmospheric conditions producing similar background aerosols across the western US, as suggested by modeled back trajectories and satellite measurements. However, the influence of aircraft-associated bacterial contaminants could not be fully eliminated and that background signal was reported throughout our dataset. Considering the tremendous engineering challenge of collecting biomass at extreme altitudes where contamination from flight hardware remains an ever-present issue, we note the utility of using the stratosphere as a proving ground for planned life detection missions across the solar system.

Arizona, California, Colorado, Nevada, Utah