Search USGS⌕ Search

SEARCH · Search USGS

Results for “Pacific Studies”

Search indexed USGS publications on groundwater, aquifers, geologic maps, mineral resources and earthquakes. Explore source records by subject and place.

Quote a phrase for an exact phrase match. Source license links do not imply unrestricted reuse.

At least 433 records · Page 24Linked to original sources

Current meter observations within lower Cook Inlet, Alaska, 1978-1979 from the R/V Sea Sounder, Pacific-Arctic Branch, U.S. Geological Survey

The U.S. Geological Survey under contract to the U.S. Bureau of Land Management conducted geo-environmental hazard studies within lower Cook Inlet, Alaska from 1975 through 1979 (Bouma and Hampton, 1976; Bouma and others, 1977 a,b, 1978 ; Hampton and Bouma 1979). As part of this effort the U.S. Geological Survey research vessel, R/V SEA SOUNDER, conducted two cruises in 1978 and one cruise in 1979 (Table 1). A number of stations were occupied for various periods of time (Fig. 1) during which tidal current speed and direction data was recorded. Some 1978 data was obtained concurrently with bottom boundary layer experiments conducted with a large instrumented tripod system referred to as GEOPROBE (Cacchione and Drake, 1979).

Alaska↗

Episodes of Aleutian Ridge explosive volcanism

Earlier workers have overlooked deep-sea bentonite beds when unraveling the Cenozoic volcanic history of an area. In the North Pacific, identification of Miocene and older volcanic episodes is possible only if both altered (bentonite) and unaltered ash beds are recognized. Our study, which includes bentonite beds, shows that volcanism on the Aleutian Ridge and Kamchatka Peninsula has been cyclic. Volcanic activity seems to have increased every 2.5 × 10 6 years for the past 10 × 10 6 years and every 5.0 × 10 6 years for the time span from 10 to 20 × 10 6 years ago. The middle and late Miocene and the Quaternary were times of greatly increased volcanic activity in the North Pacific and elsewhere around the Pacific Basin. The apparent absence of a volcanic record before the late Miocene at Deep Sea Drilling Project site 192 is the result not of plate motion, as suggested by Stewart and by Ninkovich and Donn, but rather of the diagenesis of ash layers. Major, apparently global volcanic episodes occurred at least twice in the last 20 × 10 6 years. Yet, only one major glacial epoch (the Pleistocene) has occurred. Therefore, even though glaciation coincided with an increase in Quaternary volcanism, the increased volcanism itself may not have been the primary cause of global cooling.

Alaska↗

Isotopic and petrologic investigation, and a thermomechanical model of genesis of large-volume rhyolites in arc environments: Karymshina Volcanic Complex, Kamchatka, Russia

The Kamchatka Peninsula of eastern Russia is currently one of the most volcanically active areas on Earth where a combination of >8 cm/yr subduction convergence rate and thick continental crust generates large silicic magma chambers, reflected by abundant large calderas and caldera complexes. This study examines the largest center of silicic 4-0.5 Ma Karymshina Volcanic Complex, which includes the 25 × 15 km Karymshina caldera, the largest in Kamchatka. A series of rhyolitic tuff eruptions at 4 Ma were followed by the main eruption at 1.78 Ma and produced an estimated 800 km 3 of rhyolitic ignimbrites followed by high-silica rhyolitic post-caldera extrusions. The postcaldera domes trace the 1.78 Ma right fracture and form a continuous compositional series with ignimbrites. We here present results of a geologic, petrologic, and isotopic study of the Karymshina eruptive complex, and present new Ar-Ar ages, and isotopic values of rocks for the oldest pre- 1.78 Ma caldera ignimbrites and intrusions, which include a diversity of compositions from basalts to rhyolites. Temporal trends in δ 18 O, 87 Sr/ 86 Sr, and 144 Nd/ 143 Nd indicate values comparable to neighboring volcanoes, increase in homogeneity, and temporal increase in mantle-derived Sr and Nd with increasing differentiation over the last 4 million years. Data are consistent with a batholithic scale magma chamber formed by primarily fractional crystallization of mantle derived composition and assimilation of Cretaceous and younger crust, driven by basaltic volcanism and mantle delaminations. All rocks have 35–45% quartz, plagioclase, biotite, and amphibole phenocrysts. Rhyolite-MELTS crystallization models favor shallow (2 kbar) differentiation conditions and varying quantities of assimilated amphibolite partial melt and hydrothermally-altered silicic rock. Thermomechanical modeling with a typical 0.001 km 3 /yr eruption rate of hydrous basalt into a 38 km Kamchatkan arc crust produces two magma bodies, one near the Moho and the other engulfing the entire section of upper crust. Rising basalts are trapped in the lower portion of an upper crustal magma body, which exists in a partially molten to solid state. Differentiation products of basalt periodically mix with the resident magma diluting its crustal isotopic signatures. At the end of the magmatism crust is thickened by 8 km. Thermomechanical modeling show that the most likely way to generate large spikes of rhyolitic magmatism is through delamination of cumulates and mantle lithosphere after many millions of years of crustal thickening. The paper also presents a chemical dataset for Pacific ashes from ODDP 882 and 883 and compares them to Karymshina ignimbrites and two other Pleistocene calderas studied by us in earlier works.

Kamchatka↗

Faces from the past: Frederic Morton Chamberlain (1867-1921), pioneer fishery biologist of the American West

The life of Frederic Morton Chamberlain (1867–1921) was marked by his many contributions to fishery science. As an assistant with the old U.S. Bureau of Fisheries, he pioneered life history studies of salmon in California and Alaska, and assisted in the collection of hundreds of thousands of natural history specimens from the Pacific Ocean as resident naturalist on the U.S.S. Albatross . He was innovative in the use of field photography in fishery work, and the design and construction of capture nets and collecting gear. His detailed reports were important in documenting the conditions of the native ichthyofauna in Alaska, Arizona, and California at the turn of the century and have been heavily relied upon by subsequent investigators. His ability to design and conduct scientifically justifiable studies to solve fishery problems while under many kinds of hardships is a testament to his background and dedication to the field. He represents the prototype of the modern fishery biologist.

Fisheries↗

Modeling at-sea density of marine birds to support renewable energy planning on the Pacific outer continental shelf of the contiguous United States

This report describes the at-sea spatial distributions of marine birds in Pacific OCS waters off the contiguous U.S. (Figure 1.1) to inform marine spatial planning in the region. The goal was to estimate long-term average spatial distributions for marine bird species using all available science-quality transect survey data and numerous bathymetric, oceanographic, and atmospheric predictor variables. We developed seasonal habitat-based spatial models of the at-sea distribution for 33 individual species and 13 taxonomic groups of marine birds throughout the study region. A statistical modeling framework was used to estimate numerical relationships between bird sighting data (i.e., standardized counts) and a range of temporal (e.g., Pacific Decadal Oscillation [PDO] index), spatially static (e.g., depth), and spatially dynamic (e.g., sea surface chlorophyll-a concentration) environmental variables. The estimated relationships were then used to predict spatially explicit long-term average density (individuals per km 2 ) throughout the study area for each species/group in each of four seasons. Bird sighting data came from multiple scientific survey programs and consisted of at-sea counts of birds collected between 1980 and 2017 using boat-based and fixed-wing aerial transect survey methods. Spatial environmental variables were derived from remote sensing satellite data and an ocean dynamics model.

California, Oregon, Washington↗

Level and pattern of overstory retention shape the abundance and long-term dynamics of natural and created snags

Standing dead trees, or snags, serve myriad functions in natural forests, but are often scarce in forests managed for timber production. Variable retention (VR), the retention of live and dead trees through harvest, has been adopted globally as a less intensive form of regeneration harvest. In this study, we explore how two key elements of VR systems — level (amount) and spatial pattern of live-tree retention — affect the carryover and post-harvest dynamics of natural and artificially created snags. We present nearly two decades of data from the DEMO Study, a regional-scale experiment in VR harvests of Douglas-fir-dominated forests in the Pacific Northwest. Snag losses to harvest were greater at 15 than at 40% retention (67 vs. 47% declines in density) and greater in dispersed than in aggregated treatments (64 vs. 50% declines). Densities of hard and tall (≥5 m) snags were particularly sensitive to low-level dispersed retention, declining by 76 and 81%, respectively. Despite these losses, post-harvest densities correlated with pre-harvest densities for most snag size and decay classes. In contrast to initial harvest effects, snag densities changed minimally over the post-harvest period (years 1 to 18 or 19), with low rates of recruitment offsetting low rates of loss. Post-harvest survival of snags was greater at 15 than at 40% retention (79 vs. 69%), as were rates of decay (68 vs. 52% of hard snags transitioned to soft). However, pattern had no effect on either process. Snag recruitment did not vary with retention level or pattern at the scale of the 13-ha harvest unit, but was several-fold greater in the 1-ha aggregates (14.3–27.8 snags ha −1 ) than in the corresponding dispersed treatments (4.2–5.3 snags ha −1 ). Snag size (diameter) distributions showed greater change in dispersed than in aggregated treatments, reflecting greater loss of smaller snags and recruitment biased toward larger snags. Created snags showed uniformly high survival (97%), irrespective of treatment, but rates of decay were greater at lower retention. If a goal of VR is to sustain snag abundance and diversity through harvest, emphasis should be placed on minimizing initial losses, either by reducing the intensity of felling in areas of dispersed retention or locating forest aggregates in areas of greater initial snag density, diversity, or incipient decay.

Forest Ecology and Management↗

Precipitation history and ecosystem response to multidecadal precipitation variability in the Mojave Desert region, 1893-2001

Precipitation varied substantially in the Mojave Desert through the 20th century in a manner broadly similar to the other warm North American deserts. Episodes of drought and prolonged dry conditions (1893-1904, ca. 1942-1975, and 1999-present) alternated with relatively wet periods (1905-ca. 1941 and ca. 1976-1998), probably because of global-scale climate fluctuations. These are the El Nin??o-Southern Oscillation that affects interannual climate and the Pacific Decadal Oscillation that evidently causes decadal-scale variability such as prolonged dry and wet episodes. Studies done in the late 20th century demonstrate that precipitation fluctuations affected populations of perennial vegetation, annuals, and small herbivores. Landscape rephotography reveals that several species, particularly creosote bush, increased in size and density during the ca. 1976-1998 wet period. A brief, intense drought from 1989 to 1991 and the ongoing drought caused widespread mortality of certain species; for example, chenopods and perennial grasses suffered up to 100% mortality. Drought pruning, the shedding of above-ground biomass to reduce carbon allocation, increased substantially during drought. Overall, drought had the greatest influence on the Mojave Desert ecosystem. ?? 2006.

Journal of Arid Environments↗

Paleomagnetic study of the northern Ford Ranges, western Marie Byrd Land, West Antarctica: Motion between West and East Antarctica

A paleomagnetic study of Paleozoic and Mesozoic crystalline rocks in the northern Ford Ranges of Marie Byrd Land, West Antarctica, has determined a middle Cretaceous (circa 100 Ma) paleomagnetic pole and provided constraints on possible clockwise rotation of these ranges and on the rifting of east Gondwana. The 40 Ar/ 39 Ar thermochronology data from the Fosdick Mountains record a period of rapid cooling from ∼700°C beginning at ∼100 Ma. We relate this to extension, intrusion, and uplift associated with the beginning of rifting between Campbell Plateau and Marie Byrd Land. All rocks from the Fosdick and Chester Mountains are normally polarized. We interpret thermochronology and paleomagnetic data to infer that the region was extensively remagnetized in middle Cretaceous time. Inclinations in samples from the Chester Mountains are less steep than those from the Fosdick Mountains, which we interpret as ∼25° of south tilting of the Chesters. We interpret cooling age data for the time of magnetization to infer that the tilting began after 105 Ma and ended prior to 103 Ma. We further interpret this as constraining the beginning of extension between the Campbell Plateau and western Marie Byrd Land to the interval 105 to 103 Ma. Virtual geomagnetic poles from samples of Early Carboniferous age granodiorite from the western Phillips Mountains lie on the late Paleozoic apparent polar wander path for Australia transferred to Antarctica. Directions from 29 sites in the central and eastern Phillips and Fosdick Mountains give a Middle Cretaceous paleomagnetic pole at 222.3° E, 70.5° S (A95 6.1°, KAPPA 20.0). This pole is indistinguishable from other Middle Cretaceous poles for studies further east in Marie Byrd Land. Combining middle Cretaceous poles determined for three other studies of the Antarctic Peninsula, Thurston Island, and the Ruppert-Hobbs coasts with ours gives a Pacific West Antarctic pole at 215.2° E, 73.5° S (A95 4.0°, KAPPA 528.9). This pole is discordant by 5° to 10° from synthetic mid-Cretaceous East Antarctic reference poles, but the degree of discordance is very sensitive to the choice of the specific reference pole. The lack of native East Antarctic reference poles leaves this analysis inconclusive. Accepting 10° of discordance, we favor an interpretation where Pacific West Antarctic crustal domains or microplates have rotated clockwise 40° to 90° and translated a few degrees away from East Antarctica during Late Cretaceous time.

Tectonics↗

The influence of forest management on headwater stream amphibians at multiple spatial scales

Understanding how habitat structure at multiple spatial scales influences vertebrates can facilitate development of effective conservation strategies, but until recently most studies have focused on habitat relationships only at fine or intermediate scales. In particular, patterns of amphibian occurrence across broad spatial scales are not well studied, despite recent concerns over regional and global declines. We examined habitat relationships of larval and neotenic Pacific giant salamanders (Dicamptodon tenebrosus), larval and adult Pacific tailed frogs (Ascaphus truei) (hereafter “tailed frogs”), and torrent salamanders (Rhyacotriton spp.) at three spatial scales (2-m sample unit, intermediate, and drainage). In 1998 and 1999, we captured 1568 amphibians in 702 sample units in 16 randomly chosen drainages in the Oregon Coast Range. We examined species–habitat associations at each spatial scale using an information-theoretic approach of analysis to rank sets of logistic regression models developed a priori. At the 2-m sample unit scale, all groups were negatively associated with proportion of small substrate and positively associated with stream width or elevation. At the intermediate scale, Pacific giant salamanders, adult tailed frogs, and torrent salamanders were positively associated with presence of a 46-m band of forested habitat on each side of the stream, and larval tailed frogs were positively associated with presence of forest >105 years old. Aspect was important for Pacific giant salamanders and larval tailed frogs at the intermediate scale. At the drainage scale, all groups except torrent salamanders were positively associated with proportion of stream length having forested bands >46 m in width, but further analysis suggests narrower bands may provide adequate protection for some groups. Population- and community-level responses at broad spatial scales may be reflected in species-level responses at fine spatial scales, and our results suggest that geophysical and ecological characteristics, as well as measures of instream habitat, can be used together to prioritize conservation emphasis areas for stream amphibians in managed landscapes.

Ecological Applications↗

Genetic variation among island and continental populations of Burrowing Owl (Athene cunicularia) subspecies in North America

Burrowing Owls ( Athene cunicularia ) have a large geographic range spanning both North and South America and resident populations occur on many islands in the eastern Pacific Ocean and the Caribbean Sea. Many owl populations are isolated and disjunct from other populations, but studies on genetic variation within and among populations are limited. We characterized DNA microsatellite variation in populations varying in size and geographic isolation in the Florida ( A. c. floridana ), the Western ( A. c. hypugaea ), and the Clarion ( A. c. rostrata ) subspecies of the Burrowing Owl. We also characterized genetic variation in a geographically isolated population of the western subspecies in central Mexico (near Texcoco Lake). Clarion Burrowing Owls had no intrapopulation variation (i.e., fixation) at 5 out of 11 microsatellite loci, a likely outcome of genetic drift in an isolated and small population. The Florida subspecies had only polymorphic loci but had reduced levels of genetic variation compared with the more-widespread western subspecies that occurs throughout western North America. Despite the extensive geographic distribution of the Western Burrowing Owl, we found genetic differentiation between the panmictic population north of the Trans-Mexican Volcanic Belt and the resident Texcoco Lake population in central Mexico.

Journal of Raptor Research↗

Foraging destinations and marine habitat use of short-tailed albatrosses: A multi-scale approach using first-passage time analysis

We used satellite telemetry, remotely sensed data (bathymetry, chlorophyll a (chl a), sea-surface temperature (SST), wind speed) and first-passage time (FPT) analysis to determine the distribution, movement patterns, and habitat associations of short-tailed albatrosses (Phoebastria albatrus) during the non-breeding season, 2002 and 2003. Satellite transmitters were deployed on birds immediately prior to their departure from a breeding colony at Torishima, Japan (n = 11), or at-sea in the Aleutian Islands (n = 3). Tracking durations ranged from 51 to 138 days for a total of 6709 locations after filtering (131 - 808 per bird). FPT (time required to transit a circle of given radius) revealed the location and spatial scale of area-restricted search (ARS) patterns along flight paths. On average, ARS occurred within 70 km radii. Consequently, the fit of the habitat use models increased at spatial scales beyond a 40 km FPT radius (R2 = 0.31) and stabilized for scales of 70 km and larger (R2=0.40- 0.51). At all scales, wind speed, depth or depth gradient, and chl a or chl a gradient had a significant effect on FPT (i.e., residence time). FPT increased within regions of higher gradients of depth and chl a. In contrast, FPT decreased within regions of greater depth and wind speed, with a significant interaction of wind speed and depth at some scales. Sea-surface temperature or its interactions were only significant at large spatial scales (???160 km FPT radius). Albatrosses engaged in ARS activities primarily over the shelf break and slope, including Kuroshio and Oyashio regions off the western subarctic gyre. Occasionally, birds transited the northern boundary of the Kuroshio Extension while in-route to the Aleutian Islands and Bering Sea, but overall spent little time in the western gyre. In the Aleutian Islands, ARS occurred within straits, particularly along the central and western part of the archipelago. In the Bering Sea, ARS occurred along the northern continental shelf break, the Kamchatka Current region, and east of the Commander Islands. Non-breeding short-tailed albatross concentrate foraging in oceanic areas characterized by gradients in topography and water column productivity. This study provides an understanding of the foraging ecology for a highly migratory, imperiled seabird, and confirms the importance of shelf break and slope regions as hot spots for a variety of top marine predators in the North Pacific.

Deep-Sea Research Part II: Topical Studies in Ocea↗

Channel change and bed-material transport in the Lower Chetco River, Oregon

The lower Chetco River is a wandering gravel-bed river flanked by abundant and large gravel bars formed of coarse bed-material sediment. Since the early twentieth century, the large gravel bars have been a source of commercial aggregate for which ongoing permitting and aquatic habitat concerns have motivated this assessment of historical channel change and sediment transport rates. Analysis of historical channel change and bed-material transport rates for the lower 18 kilometers shows that the upper reaches of the study area are primarily transport zones, with bar positions fixed by valley geometry and active bars mainly providing transient storage of bed material. Downstream reaches, especially near the confluence of the North Fork Chetco River, are zones of active sedimentation and channel migration. Multiple analyses, supported by direct measurements of bedload during winter 2008–09, indicate that since 1970 the mean annual flux of bed material into the study reach has been about 40,000–100,000 cubic meters per year. Downstream tributary input of bed-material sediment, probably averaging 5–30 percent of the influx coming into the study reach from upstream, is approximately balanced by bed-material attrition by abrasion. Probably little bed material leaves the lower river under natural conditions, with most net influx historically accumulating in wider and more dynamic reaches, especially near the North Fork Chetco River confluence, 8 kilometers upstream from the Pacific Ocean. The year-to-year flux, however, varies tremendously. Some years may have less than 3,000 cubic meters of bed material entering the study area; by contrast, some high-flow years, such as 1982 and 1997, likely have more than 150,000 cubic meters entering the reach. For comparison, the estimated annual volume of gravel extracted from the lower Chetco River for commercial aggregate during 2000–2008 has ranged from 32,000 to 90,000 cubic meters and averaged about 59,000 cubic meters per year. Mined volumes probably exceeded 140,000 cubic meters per year for several years in the late 1970s. Repeat surveys and map analyses indicate a reduction in bar area and sinuosity between 1939 and 2008, chiefly in the period 1965–95. Repeat topographic and bathymetric surveys show channel incision for substantial portions of the study reach, with local areas of bed lowering by as much as 2 meters. A specific gage analysis at the upstream end of the study reach indicates that incision and narrowing followed aggradation culminating in the late 1970s. These observations are all consistent with a reduction of sediment supply relative to transport capacity since channel surveys in the late 1970s, probably owing to a combination of (1) bed sediment removal and (2) transient river adjustments to large sediment volumes brought by floods such as those in 1964 and, to a lesser extent, 1996.

Oregon↗

Circum-Pacific seismic potential: 1989-1999

The seismic potential for 96 segments of simple plate boundaries around the circum-Pacific region is presented in terms of the conditional probability for the occurrence of either large or great interplate earthquakes during the next 5, 10, and 20 years (i.e., 1989-1994, 1989-1999 and 1989-2009). This study represents the first probabilistic summary of seismic potential on this scale, and involves the comparison of plate boundary segments that exhibit varying recurrence times, magnitudes, and tectonic regimes. Presenting these data in a probabilistic framework provides a basis for the uniform comparison of seismic hazard between these differing fault segments, as well as accounting for individual variations in recurrence time along a specific fault segment, and uncertainties in the determination of the average recurrence time. The definition of specific segments along simple plate boundaries relies on the mapping of earthquake rupture zones as defined by the aftershock distributions of prior large and great earthquakes, and historic descriptions of felt intensities and damage areas. The 96 segments are chosen to represent areas likely to be ruptured by "characteristic" earthquakes of a specified size or magnitude. The term characteristic implies repeated breakage of a plate boundary segment by large or great earthquakes whose source dimensions are similar from cycle to cycle. This definition does not exclude the possibility that occasionally adjacent characteristic earthquake segments may break together in a single, larger event. Conversely, a segment may also break in a series of smaller ruptures. Estimates of recurrence times and conditional probabilities for characteristic earthquakes along segments of simple plate boundaries are based on 1) the historic and instrumental record of large and great earthquake occurrence; 2) paleoseismic evidence of recurrence from radiometric dating of Holocene features produced by earthquakes; 3) direct calculations of recurrence time from the size of the most recent characteristic event and the long-term rates of plate motion assuming the validity of the time-predictable model for earthquake recurrence; and 4) the application of a lognormal distribution for the recurrence times of large and great earthquakes. Time-dependent estimates of seismic potential are based on a physical model of earthquake occurrence which assumes that the probability for an earthquake is low immediately following the occurrence of a characteristic earthquake and increases with time as the stress on the fault segment recovers the stress drop of the event. This study updates earlier work on seismic gaps by explicitly including both recurrence time information and the temporal proximity to the next event as factors in describing earthquake hazards. Currently, 11 out of 96 regions have a high (i.e., ???50%) probability of recurrence during the next 10 years and are characterized by either fairly short (i.e., less than 30-40 years) recurrence times or long elapsed times relative to the average recurrence time. The majority of these segments are located in the southwest Pacific (Vanuatu, New Guinea, and Tonga). When a longer time window is considered (e.g., 20 years or 1989-2009), 30 out of 96 regions have a high potential. Many of these regions are located near areas of high population density. These determinations do not preclude rupture of other fault segments, with less than a 50% chance in 10 or 20 years, or large and great earthquakes in areas we have not studied in detail. While this study has summarized the seismic potential for a large number of regions around the circum-Pacific, there are still a number of geographic and seismotectonic regions that need to be considered, including Indonesia, the Philippines, New Zealand, and the countries that surround the Caribbean basin. ?? 1991 Birkha??user Verlag.

Pure and Applied Geophysics PAGEOPH↗

Temperature and water-quality diversity and the effects of surface-water connection in off-channel features of the Willamette River, Oregon, 2015–16

Water-quality conditions (including temperature) in the Willamette River and many of its adjacent off-channel features, such as alcoves and side channels, were monitored between river miles 67 (near Salem, Oregon) and 168 (near Eugene, Oregon) during the summers of 2015 and 2016. One or more parameters (water temperature, dissolved oxygen, pH, specific conductance, and [or] water depth) were continuously measured at sites in the main channel (9 sites in 2015; 5 sites in 2016) and select off-channel features (20 features in 2015; 22 features in 2016). This study was initiated in reaction to the unusually warm, dry weather and resulting low streamflows that occurred in the Pacific Northwest in 2015 and the need for flow managers to understand the effects of streamflow on water-quality conditions in off-channel features of the Willamette River. Field monitoring was focused on documenting water-quality conditions during low summer streamflows and during fluctuations in streamflow, including when side channels became alcoves and reconnected to become side channels again. Water in the main channel of the Willamette River upstream from river mile 50 near Newberg typically is well mixed during summer, with warm water temperatures (greater than 18 degrees Celsius) and high dissolved-oxygen concentrations (often greater than 7.7 milligrams per liter). During low summer flows, a diverse suite of off-channel features exists adjacent to the main channel of the Willamette River. Despite temporal and spatial variability within individual features, comparison of continuous water-temperature data between the main channel and off-channel features indicated that some off-channel features were consistently cooler than the main channel, some were consistently warmer than the main channel, and others frequently fluctuated between warmer or cooler than the main channel. Site-specific characteristics including upstream connection, depth, and presence or absence of aquatic or riparian vegetation were factors that seemed to affect the water quality of a feature. Results from this study showed a relation between the geomorphology, hydrology, ecology, and water quality of an off-channel feature. Data confirmed that many features that can be classified as cold-water refuges based on water-temperature standards also contained low concentrations of dissolved oxygen that may not be suitable for sensitive fish species. A simplified site classification scheme is proposed that links water-quality conditions in measured off-channel features with site-specific characteristics and summer streamflows. The site classification scheme was extended to create a theoretical process matrix that relates measured water-quality conditions to a list of the processes and site-specific characteristics that could create those conditions.

Oregon↗

Parasitic nematodes of marine fishes from Palmyra Atoll, East Indo-Pacific, including a new species of Spinitectus (Nematoda, Cystidicolidae)

Here, we present the results of a taxonomic survey of the nematodes parasitizing fishes from the lagoon flats of Palmyra Atoll, Eastern Indo-Pacific. We performed quantitative parasitological surveys of 653 individual fish from each of the 44 species using the intertidal sand flats that border the atoll’s lagoon. We provide morphological descriptions, prevalence, and mean intensities of the recovered seven species of adult nematode ( Pulchrascaris chiloscyllii , Capillariidae gen. sp., Cucullanus bourdini, Cucullanus oceaniensis, Pseudascarophis sp., Spinitectus (Paraspinitectus) palmyraensis sp. nov., Philometra pellucida ) and three larval stages ( Pulchrascaris sp., Hysterothylacium sp., Cucullanus sp.). We recorded: Pulchrascaris chiloscyllii from Carcharhinus melanopterus ; Capillariidae gen. sp. from Chaetodon lunula, Lutjanus fulvus, and Ellochelon vaigiensis ; Cucullanus bourdin i from Arothron hispidus ; Cucullanus oceaniensis from Abudefduf sordidus ; Pseudascarophis sp. from Chaetodon auriga, Chaetodon lunula, and Mulloidichthys flavolineatus ; Spinitectus ( Paraspinitectus ) palmyraensis sp. nov. from Albula glossodonta ; Philometra pellucida from Arothron hispidus ; and three larval forms, Pulchrascaris sp. from Acanthurus triostegus, Acanthurus xanthopterus, Rhinecanthus aculeatus, Platybelone argalus, Carangoides ferdau, Carangoides orthogrammus, Caranx ignobilis, Caranx melampygus, Caranx papuensis, Chaetodon auriga, Chanos chanos, Amblygobius phalaena, Asterropteryx semipunctata, Valencienea sexguttata, Kyphosus cinerascens, Lutjanus fulvus, Lutjanus monostigma, Ellochelon vaigiensis, Mulloidichthys flavolineatus, Upeneus taeniopterus, Gymnothorax pictus, Abudefduf septemfasciatus, Abudefduf sordidus, and Stegastes nigricans ; Hysterothylacium sp. type MD from Acanthurus triostegus, Carangoides ferdau, Chaetodon lunula, Chanos chanos, Kyphosus cinerascens, Abudefduf sordidus, and Arothron hispidus ; and Cucullanus sp. from Caranx ignobilis . Spinitectus ( Paraspinitectus ) palmyraensis sp. nov. (Cystidicolidae) is described from the intestine of roundjaw bonefish Albula glossodonta . All the nematode species reported in this study represent new geographical records. We discuss how our survey findings compare to other areas of the Indo-Pacific, and the way the relatively numerical dominance of trophically transmitted larval stages likely reflect the intact food web of Palmyra Atoll, which includes a large biomass of large-bodied top predator sharks and ray-finned fishes.

ZooKeys↗

Marine mineral resources of Pacific Islands— A review of the Exclusive Economic Zones of islands of U.S. affiliation, excluding the State of Hawaii

The United States Exclusive Economic Zone (EEZ) was established in 1983 and comprises all marine areas within 200 nautical miles (370 kilometers) of the nearest U.S. land. This vast area of 3.38 million square nautical miles (11.6 million square kilometers) is about 20 percent greater than the entire land area of the United States. The resource potential of the vast mineral deposits that occur within the U.S. EEZ is unknown, despite field studies that have taken place during the past 25 years. Since about 1975, information on marine mineral deposits has been obtained by numerous research cruises to the Pacific Ocean by the U.S. Geological Survey (USGS), the U.S. National Oceanic and Atmospheric Administration (NOAA), equivalent government agencies in Germany, Canada, France, Russia, Japan, China, South Korea, Australia, and New Zealand, and by academic researchers from all of these nations. Although most of the cruises by other nations explored areas outside the U.S. EEZ, information gained from those studies can aid in the evaluation of the mineral potential in the U.S. EEZ. However, the global effort remains inadequate to allow for the quantitative evaluation of mineral resources contained within the EEZ of nations or within international regions of the oceans.

Circular↗

The productivity of Cascadia aftershock sequences

This study addresses questions about the productivity of Cascadia mainshock–aftershock sequences using earthquake catalogs produced by the Geological Survey of Canada and the Pacific Northwest Seismic Network. Questions concern the likelihood that future moderate to large intermediate depth intraslab earthquakes in Cascadia would have as few detectable aftershocks as those documented since 1949. More broadly, for Cascadia, we consider if aftershock productivities vary spatially, if they are outliers among global subduction zones, and if they are consistent with a physical model in which aftershocks are clock‐advanced versions of tectonically driven background seismicity. A practical motivation for this study is to assess the likely accuracy of aftershock forecasts based on productivities derived from global data that are now being issued routinely by the U.S. Geological Survey. For this reason, we estimated productivity following the identical procedures used in those forecasts and described in Page et al. (2016) . Results indicate that in Cascadia we can say that the next intermediate depth intraslab earthquake will likely have just a few detectable aftershocks and that aftershock productivity appears to be an outlier among global subduction zones, with rates that on average are lower by more than half, except for mainshocks in the upper plate. Our results are consistent with a clock‐advance model; productivities may be related to the proximity of mainshocks to a population of seismogenic fault patches and correlate with background seismicity rates. The latter and a clear correlation between productivities with mainshock depth indicate that both factors may have predictive value for aftershock forecasting.

British Columbia, California, Oregon, Washington↗