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Appendix B: Description of Map Units for Northeast Asia Summary Geodynamics Map

The major purposes of this chapter are to provide (1) an overview of the regional geology, tectonics, and metallogenesis of Northeast Asia for readers who are unfamiliar with the region, (2) a general scientific introduction to the succeeding chapters of this volume, and (3) an overview of the methodology of metallogenic and tectonic analysis used in this study. We also describe how a high-quality metallogenic and tectonic analysis, including construction of an associated metallogenic-tectonic model will greatly benefit other mineral resource studies, including synthesis of mineral-deposit models; improve prediction of undiscovered mineral deposit as part of a quantitative mineral-resource-assessment studies; assist land-use and mineral-exploration planning; improve interpretations of the origins of host rocks, mineral deposits, and metallogenic belts, and suggest new research. Research on the metallogenesis and tectonics of such major regions as Northeast Asia (eastern Russia, Mongolia, northern China, South Korea, and Japan) and the Circum-North Pacific (the Russian Far East, Alaska, and the Canadian Cordillera) requires a complex methodology including (1) definitions of key terms, (2) compilation of a regional geologic base map that can be interpreted according to modern tectonic concepts and definitions, (3) compilation of a mineral-deposit database that enables a determination of mineral-deposit models and clarification of the relations of deposits to host rocks and tectonic origins, (4) synthesis of a series of mineral-deposit models that characterize the known mineral deposits and inferred undiscovered deposits in the region, (5) compilation of a series of metallogenic-belt belts constructed on the regional geologic base map, and (6) construction of a unified metallogenic and tectonic model. The summary of regional geology and metallogenesis presented here is based on publications of the major international collaborative studies of the metallogenesis and tectonics of Northeast Asia that have been led by the U.S. Geological Survey (USGS). These studies have produced two broad types of publications (1) a series of regional geologic, mineral-deposit, and metallogenic-belt maps, with companion descriptions of the region, and (2) a suite of metallogenic and tectonic analyses of the same region. The study area consists of eastern Russia (most of eastern Siberia and the Russian Far East), Mongolia, northern China, South Korea, Japan, and adjacent offshore areas. The major cooperative agencies are the Russian Academy of Sciences; the Academy of Sciences of the Sakha Republic (Yakutia); VNIIOkeangeologia and Ministry of Natural Resources of the Russian Federation; the Mongolian Academy of Sciences; the Mongolian University of Science and Technology; the Mongolian National University; Jilin University, Changchun, People?s Republic of China, the China Geological Survey; the Korea Institute of Geosciences and Mineral Resources; the Geological Survey of Japan/AIST; the University of Texas, Arlington, and the U.S. Geological Survey (USGS). This study builds on and extends the data and interpretations from a previous project on the Major Mineral Deposits, Metallogenesis, and Tectonics of the Russian Far East, Alaska, and the Canadian Cordillera conducted by the USGS, the Russian Academy of Sciences, the Alaska Division of Geological and Geophysical Surveys, and the Geological Survey of Canada. The major products of this project were summarized by Naumova and others (2006) and are described in appendix A.

Professional Paper

Appendix C: Summary of Major Metallogenic Belts in Northeast Asia (the Russian Far East, Yakutia, Siberia, Transbaikalia, Northern China, Mongolia, South Korea, and Japan)

The major purposes of this chapter are to provide (1) an overview of the regional geology, tectonics, and metallogenesis of Northeast Asia for readers who are unfamiliar with the region, (2) a general scientific introduction to the succeeding chapters of this volume, and (3) an overview of the methodology of metallogenic and tectonic analysis used in this study. We also describe how a high-quality metallogenic and tectonic analysis, including construction of an associated metallogenic-tectonic model will greatly benefit other mineral resource studies, including synthesis of mineral-deposit models; improve prediction of undiscovered mineral deposit as part of a quantitative mineral-resource-assessment studies; assist land-use and mineral-exploration planning; improve interpretations of the origins of host rocks, mineral deposits, and metallogenic belts, and suggest new research. Research on the metallogenesis and tectonics of such major regions as Northeast Asia (eastern Russia, Mongolia, northern China, South Korea, and Japan) and the Circum-North Pacific (the Russian Far East, Alaska, and the Canadian Cordillera) requires a complex methodology including (1) definitions of key terms, (2) compilation of a regional geologic base map that can be interpreted according to modern tectonic concepts and definitions, (3) compilation of a mineral-deposit database that enables a determination of mineral-deposit models and clarification of the relations of deposits to host rocks and tectonic origins, (4) synthesis of a series of mineral-deposit models that characterize the known mineral deposits and inferred undiscovered deposits in the region, (5) compilation of a series of metallogenic-belt belts constructed on the regional geologic base map, and (6) construction of a unified metallogenic and tectonic model. The summary of regional geology and metallogenesis presented here is based on publications of the major international collaborative studies of the metallogenesis and tectonics of Northeast Asia that have been led by the U.S. Geological Survey (USGS). These studies have produced two broad types of publications (1) a series of regional geologic, mineral-deposit, and metallogenic-belt maps, with companion descriptions of the region, and (2) a suite of metallogenic and tectonic analyses of the same region. The study area consists of eastern Russia (most of eastern Siberia and the Russian Far East), Mongolia, northern China, South Korea, Japan, and adjacent offshore areas. The major cooperative agencies are the Russian Academy of Sciences; the Academy of Sciences of the Sakha Republic (Yakutia); VNIIOkeangeologia and Ministry of Natural Resources of the Russian Federation; the Mongolian Academy of Sciences; the Mongolian University of Science and Technology; the Mongolian National University; Jilin University, Changchun, People?s Republic of China, the China Geological Survey; the Korea Institute of Geosciences and Mineral Resources; the Geological Survey of Japan/AIST; the University of Texas, Arlington, and the U.S. Geological Survey (USGS). This study builds on and extends the data and interpretations from a previous project on the Major Mineral Deposits, Metallogenesis, and Tectonics of the Russian Far East, Alaska, and the Canadian Cordillera conducted by the USGS, the Russian Academy of Sciences, the Alaska Division of Geological and Geophysical Surveys, and the Geological Survey of Canada. The major products of this project were summarized by Naumova and others (2006) and are described in appendix A.

Professional Paper

Estimating soil moisture, actual evapotranspiration, climatic water deficit, and groundwater recharge during periods of drought for current and future climate conditions in Hawaiʻi

Mid- and end-of-century climate projections for the Hawaiian Islands indicate that rainfall is projected to decrease across large areas. In areas affected by drought or where the future climate becomes drier, reduced groundwater recharge can affect freshwater availability. Reduced rainfall can also reduce soil moisture, which can increase the risk of wildfire. Cloud-water interception, or fog drip, is the process by which cloud-water droplets are captured on the leaves and branches of plants with some of the captured cloud water subsequently dripping to the ground. Studies in Hawaiʻi indicate that fog drip can contribute substantially to total precipitation and may have the potential to lessen the negative effects of drought or a drying climate on freshwater availability and wildfire risk. Wildfire danger assessments in the continental United States have used estimates of soil moisture, evapotranspiration, and climatic water deficit (that is, the evaporative demand that exceeds available water) to improve the identification of areas at risk for wildfires. In this study, water-budget models developed for the islands of Kauaʻi, Oʻahu, Molokaʻi, Maui, and Hawaiʻi were used to quantify the effects of severe drought, future climate conditions, and reducing or eliminating fog drip on groundwater recharge, soil moisture, evapotranspiration, and climatic water deficit. Island-wide summaries of groundwater recharge, soil moisture, evapotranspiration, and climatic water deficit were developed to (1) illustrate changes between recent, drought, and future climate conditions, (2) illustrate the effects of reducing or eliminating fog drip for recent, drought, and future climate conditions, and (3) highlight areas of increased potential risk for wildfire during drought and future climate conditions. The results of these analyses can be used by natural resource managers in Hawaiʻi.

Hawaii

Archive of digital chirp subbottom profile data collected during USGS cruise 10BIM04 offshore Cat Island, Mississippi, September 2010

In September of 2010, the U.S. Geological Survey (USGS), in cooperation with the U.S. Army Corps of Engineers (USACE), conducted a geophysical survey to investigate the geologic controls on barrier island framework of Cat Island, Miss., as part of a broader USGS study on Barrier Island Mapping (BIM). These surveys were funded through the Mississippi Coastal Improvements Program (MsCIP) and the Northern Gulf of Mexico (NGOM) Ecosystem Change and Hazard Susceptibility Project as part of the Holocene Coastal Evolution of the Mississippi-Alabama Region Subtask. This report serves as an archive of unprocessed digital chirp subbottom data, trackline maps, navigation files, GIS files, Field Activity Collection System (FACS) logs, and formal FGDC metadata. Gained (showing a relative increase in signal amplitude) digital images of the seismic profiles are also provided. Refer to the Acronyms page for expansions of acronyms and abbreviations used in this report. The USGS Saint Petersburg Coastal and Marine Science Center (SPCMSC) assigns a unique identifier to each cruise or field activity. For example, 10BIM04 tells us the data were collected in 2010 during the fourth field activity for that project in that calendar year. Refer to http://walrus.wr.usgs.gov/infobank/programs/html/definition/activity.html for a detailed description of the method used to assign the field activity identification (ID). All chirp systems use a signal of continuously varying frequency; the EdgeTech SB-512i system used during this survey produces high-resolution, shallow-penetration (typically less than 50 milliseconds (ms)) profile images of sub-seafloor stratigraphy. The towfish contains a transducer that transmits and receives acoustic energy; it was housed within a float system (built at the SPCMSC), which allows the towfish to be towed at a constant depth of 1.07 meters (m) below the sea surface. As transmitted acoustic energy intersects density boundaries, such as the seafloor or sub-surface sediment layers, some energy is reflected back toward the transducer, received, and recorded by a Personal Computer (PC)-based seismic acquisition system. This process is repeated at regular time intervals (for example, 0.125 seconds (s)), and returned energy is recorded for a specific duration (for example, 50 ms). In this way, a two-dimensional (2-D) vertical image of the shallow geologic structure beneath the ship track is produced. Figure 1 displays the acquisition geometry. Refer to table 1 for a summary of acquisition parameters and table 2 for trackline statistics. The archived trace data are in standard Society of Exploration Geophysicists (SEG) SEG Y rev. 0 format (Barry and others, 1975); the first 3,200 bytes of the card image header are in American Standard Code for Information Interchange (ASCII) format instead of Extended Binary Coded Decimal Interchange Code (EBCDIC) format. The SEG Y files may be downloaded and processed with commercial or public domain software such as Seismic Unix (SU) (Cohen and Stockwell, 2010). See the How To Download SEG Y Data page for download instructions. The printable profiles provided here are GIF images that were processed and gained using SU software, and they can be viewed from the Profiles page or from links located on the trackline maps; refer to the Software page for links to example SU processing scripts. The SEG Y files are available on the DVD version of this report or on the Web, downloadable via the USGS Coastal and Marine Geoscience Data System (http://cmgds.marine.usgs.gov). The data are also available for viewing using GeoMapApp (http://www.geomapapp.org) and Virtual Ocean (http://www.virtualocean.org) multi-platform open source software.

Mississippi

Evaluation of nonpoint-source contamination, Wisconsin; selected streamwater-quality data, land-use and best-management practices inventory, and quality assurance and quality control, water year 1993

The objective of the watershed-management evaluation monitoring program in Wisconsin is to evaluate the effectiveness of the best-management practices (BMPs) for rural streams, urban streams, and urban storm sewers. This report is an annual summary of the data collected for the program and a report of the results from several different special studies conducted within this program. Suspended sediment and total phosphorus storm-load data are summarized for eight rural sites and suspended sediment, total phosphorus, total recoverable lead, total recoverable copper, total recoverable zinc, and total recoverable cadmium storm-load data are summarized for four urban sites. Dissolved-oxygen data is summarized and compared with Wisconsin's waterquality standards for summer 1993 for seven rural sites. The dissolved-oxygen concentrations declined to levels below these standards at least one time at all seven sites during summer 1993. Total-recoverable hardness concentrations were compared with dissolved-hardness concentrations at two urban streams and two urban storm sewers. Least-squared linear regressions resulted in stronger relations for low-flow conditions than for high-flow conditions, indicating that most hardness during low flow is dissolved hardness. Pesticide data are summarized for four urban sites and six rural sites. Herbicides were detected at urban and rural sites; whereas insecticides were detected only at urban sites. A land-use and best-management-practice inventory is ongoing for each evaluation monitoring project to track the different sources of nonpoint pollution in each watershed and to document implementation of best-management programs that may cause changes in water quality of streams. Updated information is gathered each year, mapped, and stored in a geographic-information-system data base. The quality-assurance/quality-control plan for the urban watershed-management evaluation program consisted of a series of blank samples. These blank samples were used to identify and isolate contamination by inorganic and organic components throughout the collection and processing of urban streamwater samples. A dissolved trace-metal contamination problem was identified and resolved by using different laboratory- supplied sample bottles. A special study was done to determine the effect of holding time on fecal coliform colony counts. A linear regression indicated that the mean decrease in colony counts over 72 hours was 8.2 percent per day. Results after 24 hours showed that colony counts increased in some samples and decreased in others.

Wisconsin

The principal rare earth elements deposits of the United States: A summary of domestic deposits and a global perspective

The rare earth elements (REE) are fifteen elements with atomic numbers 57 through 71, from lanthanum to lutetium ('lanthanides'), plus yttrium (39), which is chemically similar to the lanthanide elements and thus typically included with the rare earth elements. Although industrial demand for these elements is relatively small in tonnage terms, they are essential for a diverse and expanding array of high-technology applications. REE-containing magnets, metal alloys for batteries and light-weight structures, and phosphors are essential for many current and emerging alternative energy technologies, such as electric vehicles, energy-efficient lighting, and wind power. REE are also critical for a number of key defense systems and other advanced materials. Section 843 of the National Defense Authorization Act for Fiscal Year 2010, Public Law 111-84, directs the Comptroller General to complete a report on REE materials in the defense supply chain. The Office of Industrial Policy, in collaboration with other U.S. Government agencies, has initiated (in addition to this report) a detailed study of REE. This latter study will assess the Department of Defense's use of REE, as well as the status and security of domestic and global supply chains. That study will also address vulnerabilities in the supply chain and recommend ways to mitigate any potential risks of supply disruption. To help conduct this study, the Office of Industrial Policy asked the U.S. Geological Survey (USGS) to report on domestic REE reserves and resources in a global context. To this end, the enclosed report is the initial USGS contribution to assessing and summarizing the domestic REE resources in a global perspective. In 2009, the Mineral Resources Program of the USGS organized a new project under the title Minerals at Risk and For Emerging Technologies in order to evaluate mineral resource and supply issues of rare metals that are of increasing importance to the national economy. Leaders and members of this project, with the assistance of the USGS National Minerals Information Center, prepared the enclosed USGS report on domestic REE resources. The USGS Mineral Resources Program has investigated domestic and selected foreign REE resources for many decades, and this report summarizes what has been learned from this research. The USGS National Minerals Information Center (formerly Minerals Information Team) has monitored global production, trade, and resources for an equally long period and is the principal source of statistics used in this report. The objective of this study is to provide a nontechnical overview of domestic reserves and resources of REE and possibilities for utilizing those resources. At the present time, the United States obtains its REE raw materials from foreign sources, almost exclusively from China. Import dependence upon a single country raises serious issues of supply security. In a global context, domestic REE resources are modest and of uncertain value; hence, available resources in traditional trading partners (such as Canada and Australia) are of great interest for diversifying sources of supply. This report restates basic geologic facts about REE relevant to assessing security of supply, followed by a review of current United States consumption and imports of REE, current knowledge of domestic resources, and possibilities for future domestic production. Further detail follows in a deposit-by-deposit review of the most significant domestic REE deposits (see index map). Necessary steps to develop domestic resources are discussed in a separate section, leading into a review of current domestic exploration and a discussion of the value of a future national mineral resource assessment of REE. The report also includes an overview of known global REE resources and discusses the reliability of alternative foreign sources of REE.

Scientific Investigations Report

Intercomparison of principal hydrometric instruments; Third phase, Evaluation of ultrasonic velocity meters for flow measurement in streams, canals, and estuaries

As part of the World Meteorological Organization ( WMO ) project Intercomparison of Principal Hydrometric Instruments , Third Phase , a questionnaire was prepared by the U.S. Geological Survey (USGS) on the application of Ultrasonic Velocity Meters (UVM's) for flow measurement in streams , canals , and estuaries . In 1996, this questionnaire was distributed internationally by the WMO and USGS, and distributed within the United States by the USGS. Completed questionnaires were returned by 26 agencies in 7 countries (Canada, France, Germany, The Netherlands, Switzerland, the United Kingdom, and the United States). The completed questionnaires described geometric and streamflow conditions, system configurations, and reasons for applying UVM systems for 260 sites, thus providing information on the applicability of UVM systems throughout the world. The completed questionnaires also provided information on operational issues such as (1) methods used to determine and verify UVM ratings, (2) methods used to determine the mean flow velocity for UVM systems, (3) operational reliability of UVM systems, (4) methods to estimate missing data, (5) common problems with UVM systems and guidelines to mitigate these problems, and (6) personnel training issues. The completed questionnaires also described a few unique or novel applications of UVM systems. In addition to summarizing the completed questionnaires, this report includes a brief overview of UVM application and operation, and a short summary of current (1998) information from UVM system manufacturers regarding system cost and capabilities. On the basis of the information from the completed questionnaires and provided by the manufacturers, the general applicability of UVM systems is discussed. In the finalisation of this report the financial support provided by the US National Committee for Scientific Hydrology is gratefully acknowledged.

Report

Grand challenges for integrated USGS science — A workshop report

Executive Summary The U.S. Geological Survey (USGS) has a long history of advancing the traditional Earth science disciplines and identifying opportunities to integrate USGS science across disciplines to address complex societal problems. The USGS science strategy for 2007–2017 laid out key challenges in disciplinary and interdisciplinary arenas, culminating in a call for increased focus on a number of crosscutting science directions. Ten years on, to further the goal of integrated science and at the request of the Executive Leadership Team (ELT), a workshop with three dozen invited scientists spanning different disciplines and career stages in the Bureau convened on February 7–10, 2017, at the USGS John Wesley Powell Center for Analysis and Synthesis in Fort Collins, Colorado. The workshop focused on identifying “grand challenges” for integrated USGS science. Individual participants identified nearly 70 potential grand challenges before the workshop and through workshop discussions. After discussion, four overarching grand challenges emerged: Natural resource security, Societal risk from existing and emerging threats, Smart infrastructure development, and Anticipatory science for changing landscapes. Participants also identified a “comprehensive science challenge” that highlights the development of integrative science, data, models, and tools—all interacting in a modular framework—that can be used to address these and other future grand challenges: Earth Monitoring, Analyses, and Projections (EarthMAP) EarthMAP is our long-term vision for an integrated scientific framework that spans traditional scientific boundaries and disciplines, and integrates the full portfolio of USGS science: research, monitoring, assessment, analysis, and information delivery. The Department of Interior, and the Nation in general, have a vast array of information needs. The USGS meets these needs by having a broadly trained and agile scientific workforce. Encouraging and supporting cross-discipline engagement would position the USGS to tackle complex and multifaceted scientific and societal challenges in the 21st Century.

Open-File Report

A regional analysis of long-term gray and harbor seal stranding events

Strong indicators of species’ sensitivity, adaptive capacity, and overall vulnerability to climate change are provided by changes in phenology, the timing of recurring life events (Parmesan and Yohe, 2003). We possess poor information on climate induced shifts in phenology of marine organisms, especially top predators. The Gulf of Maine (GOM) Seasonal Migrants Project is an ongoing effort to determine the phenological changes occurring in the GOM across marine mammals, sea turtles, and other marine species of conservation concern. As part of that study, stranding data of injured or dead animals was explored for its utility to serve as supplemental data to amend more traditional survey data where observations are scarce. NOAA’s Greater Atlantic Region Marine Mammal Stranding Network Database was examined for its utility as a potential long-term time series for the evaluation of phenological patterns and shifts. Although records from stranding events represent sick or injured animals, these data have been found to be reasonably comparable to survey data and provide useful information on species’ distribution, abundance, and foraging ecology (Maldini et al., 2005; Staudinger et al., 2014; Johnston et al., 2012, 2015). In this study, we focused on stranding data of two marine mammal species, harbor seals (Phoca vitulina) and gray seals (Halichoerus grypus). It was anticipated these data would also be good indicators of the areas and habitats that seal populations use on a seasonal and annual basis in the region. Viable stranding data from Maine to North Carolina included 1,571 gray seals and 4,399 harbor seals from 2001 to 2015. This paper presents a summary of the spatial and temporal patterns of these data, and suggests their suitability as supplemental data to other GOM marine species phenological studies, such as the North Atlantic Right Whale Consortium database modeling efforts.

Report

Assessing the potential for evaluation of wildland fire models using remotely sensed data—Summary proceedings from a U.S. Geological Survey workshop in 2024

On September 19, 2024, the U.S. Geological Survey (USGS) held a virtual workshop titled “Potential for Evaluation of Fire Models with Remote Sensing Data Workshop” to assess the feasibility of using remotely sensed datasets to evaluate next-generation wildland fire behavior models. Remote sensing and fire modelling experts gathered to: (1) assess the suitability of a variety of classified, commercial, and publicly available remotely sensed datasets for advancing fire model evaluation; (2) develop ideas on how to integrate remotely sensed data products with fire model inputs and outputs; and (3) identify any barriers and limitations to performing an evaluation of next-generation fire models. The USGS National Civil Applications Center, USGS Earth Resources Observation and Science Center, and USGS Fort Collins Ecosystem Science Center presented information on remote sensing datasets for three Arizona wildfire case studies. The development teams of the Fire Dynamics Simulator and QUIC-Fire fire behavior models presented their models and current evaluation methodologies. Interspersed with these presentations were discussions regarding how to expand current wildfire remote sensing data collection efforts beyond operational needs to assist in future fire modeling. Workshop participants agreed that several of the remote sensing datasets have potential for wildfire model evaluation. However, participants also identified several barriers and complications to performing a model evaluation including key gaps in wildfire datasets; uncertainties related to model fire-atmosphere reinitiation; lack of ground truthing and atmospheric correction of remotely sensed datasets; and differences in spatial, geolocation, radiometric, and temporal resolutions between the datasets and models. Further, the absence of standardized methodologies for image interpretation, poor understanding of sensor capabilities and limitations, and a lack of automation also hinder model evaluation efforts. Based on feedback from this workshop, USGS fire modelers are considering a project to address the uncertainties related to fire model reinitiation and encouraging fire practitioners to collaborate with remote sensing experts on wildland fires to improve data collection for a broader community of practice. Additionally, multiagency efforts are in development for a comprehensive cross-sensor validation and ground-truth campaign to test spatial, spectral, and geolocation sensor capabilities, determine limitations, and identify observational gaps for future sensor development and acquisition.

Arizona

Evaluating management alternatives for Wyoming elk feedgrounds in consideration of chronic wasting disease

Executive Summary The authors used decision and modeling analyses to evaluate management alternatives for a decision on whether to permit Cervus canadensis (elk) feeding on two sites on Bridger-Teton National Forest, Dell Creek and Forest Park. Supplemental feeding of elk could increase the transmission of chronic wasting disease (CWD) locally and disease spread regionally, potentially impacting elk populations over time with wider implications for Odocoileus hemionus (mule deer) and Odocoileus virginianus (white-tailed deer) populations and hunting, tourism, and regional revenue. Supplemental feeding is thought to improve overwinter elk survival and reduce the commingling of elk with cattle during months when brucellosis transmission risk is highest. We worked with the U.S. Department of Agriculture Forest Service to identify their fundamental objectives and associated performance metrics related to this feedground decision. We then developed disease and habitat selection models to quantify the effect of four management alternatives on select performance metrics. The four alternatives were to continue to permit feeding, phaseout permits to feed in three years, permit feeding on an emergency basis, or stop permitting feeding. In this report, we present methods and summarized results on disease and habitat selection models and summaries of other performance metrics analyzed by BIO-WEST, Inc. and Cirrus Ecological Solutions as part of an Environmental Impact Statement. Data from Wyoming Game and Fish Department (WGFD) supported the assumption that supplemental elk feeding allows for larger elk populations in a region. We documented that herd units (HU) without feedgrounds had 23 percent lower densities of elk per area of winter range when compared against HUs with feedgrounds, after accounting for differences in sightability of elk during counts on and off feedgrounds. Thus, throughout our analyses, we assumed feedground closures would reduce elk carrying capacity resulting in an average decline of previously fed elk population segments by 23 percent (5th and 95th percentiles = [11 percent, 35 percent]) by year 20. Most of that decline occurred within the first few years after a feedground ceases to operate. We used a panel of CWD experts to help estimate CWD trans-mission in fed and unfed elk population segments. In aggregate, the expert panel estimated that median values of direct and indirect transmission of CWD are expected to be 1.9 and 4 times higher, respectively, in fed elk populations compared to unfed elk. We used these disease transmission estimates in combination with local elk demographic rates and carrying capacity estimates to project disease and population dynamics. In year 20, we predicted CWD prevalence would increase to 42 percent (5th and 95th percentiles = [29 percent, 55 percent]), and 13 percent (5th and 95th percentiles = [4 percent, 26 percent]) on average for fed and unfed elk population segments, respectively, given a starting prevalence of 1.6 percent. The prevalence estimates for the unfed elk population segments are in the range of previous observations of CWD in elk in the western United States. The average CWD prevalence from 2016 to 2018 in the unfed elk population of Wind Cave National Park in South Dakota was 18 percent overall but up to 30 percent in some regions (Sargeant and others, 2021). Meanwhile, CWD prevalence in the Iron Mountain and Laramie Peak elk herds in Wyoming from 2016 to 2018 was 14 percent and 7 percent, respectively, despite being present since at least 2002 (Wyoming Game and Fish Department, 2020b). From 2016 to 2020, elk that were fed at Dell Creek and Forest Park constituted on average 12–20 percent of the total elk on their respective HUs. As a result, the differences between management alternatives are modest when considering the closure of only one feedground on a HU. The no feeding alternative for Forest Park resulted in a CWD prevalence of 17 percent (SD = 7 percent) in the Afton HU compared to 20 percent (SD = 7 percent) with continued feeding by year 20. In the Upper Green River HU, no feeding on Dell Creek resulted in a CWD prevalence of 27 percent (SD = 6 percent) compared to 30 percent (SD = 5 percent) with continued feeding. In terms of disease-associated mortality, we predicted the closure of Forest Park and Dell Creek feedgrounds would reduce the total number of CWD mortalities by 9 percent in the Upper Green River HU and 26 percent in the Afton HU during the 20-year timespan. Our spatial analyses predicted that management alternative effects vary by HU as a function of private property and other wildlife winter ranges proximity relative to feedground location. The predicted number of elk abortions on private land, as a proxy for brucellosis risk to cattle, may increase by 8–21 percent in the absence of feeding at Dell Creek and Forest Park. Eight feedgrounds are located on Bridger-Teton National Forest, all of which have permits that have expired or will expire prior to 2028. In addition, WGFD could change their management of feedgrounds given new information; therefore, we also assessed the cumulative effects of continued feeding, phaseout, and no feeding management alternatives across five HUs south of Jackson, Wyoming (Afton HU, Fall Creek HU, Piney HU, Pinedale HU, and Upper Green River HU). These five HUs ranged from about 41 to 85 percent of the elk herd using feedgrounds, which corresponded to a CWD prevalence at year 20 of 23–34 percent if all feedgrounds in those five HUs remained open relative to 12 to 14 percent if all feedgrounds were closed. We predicted feedground closures may result in immediate reductions in population size relative to alternatives that continue feeding (for example, continued feeding and emergency feeding alternatives); however, over longer periods of time, CWD-associated mortality leads to larger population reductions. The no feeding alternative resulted in higher elk population sizes compared to the continued feeding alternative after about 10 years of implementation. Delayed action under a phaseout alternative resulted in increasing the CWD prevalence to 20 percent relative to 12 to 14 percent, on average, without feeding on HUs with a large population of fed elk such as the Upper Green River HU. Summarizing our cumulative results across all five of the analyzed HUs, we predicted continued feeding will lead to fewer elk by year 20 (mean = 8,300, standard deviation [SD] = 740) compared to no feeding at U.S. Department of Agri-culture Forest Service sites (10,700, SD = 890). The closure of all feedgrounds was projected to result in the largest elk populations at year 20 (12,500, SD = 980). No feeding at all sites also resulted in the largest cumulative harvest of 57,700 (SD = 2,600) compared to 51,100 (SD = 3,800) for continued feeding at all current feedground sites on the five HUs. Continued feeding also resulted in the lowest brucellosis costs to producers ($194,600, SD = $11,500) compared to no feeding on all feedgrounds ($243,000, SD = $13,700). Assuming moderate reductions in hunter interest because of increasing CWD prevalence in elk, we predicted that no feeding resulted in regional revenues generated by hunting activities of $190 million (SD = $10 million) compared to $173 million (SD = $10 million) for continued feeding over the 20-year timeframe. Recent CWD detections in mule deer and elk in Grand Teton National Park has elevated the importance of the cur-rent decision on whether, and how, to permit elk feeding on Dell Creek and Forest Park and the management of the other feedgrounds. Aggressive male harvest has slowed, but not stopped, the increasing prevalence of CWD in mule deer (Conner and others, 2021). It is unclear whether harvest management can be an effective tool to slow the spread of CWD in elk. There are also no effective treatments or vaccines for CWD, and it is unlikely that any will be developed that can be easily deployed in the near future. Thus, reducing artificial aggregations is one of the few management approaches suggested by the Western Association of Fish and Wildlife Agencies (Almberg and others, 2017). Future surveillance and monitoring can be designed to resolve uncertainties that can improve future decision-making. If feedgrounds close, research could quantify elk population reductions in the absence of feeding, the redistribution of fed elk to other places, or the consequences of elk movement on private property. If feedgrounds remain open, research could assess how rapidly CWD spreads in artificial aggregations of elk; however, surveillance programs would need to be designed with sufficient power to detect initial changes of CWD prevalence. Delaying action on feedground management was projected to be costly. Results of the phaseout alternative relative to the no feeding alternative suggested a 3-year delay was enough for substantial long-term changes in CWD prevalence. The long-term persistence of infectious CWD prions in the environment suggests that feedground management decisions may have long-lasting consequences. Our results indicated tradeoffs in the ability of a management agency to achieve all their objectives, and all management alternatives resulted in significant reductions in elk population size. This report contains the foundational elements for formal decision analysis methods, which can be implemented to help decision makers transparently evaluate the consequences of decision alternatives and identify the set of actions that best achieve agency and stakeholder priorities.

Wyoming

Statistics of petroleum exploration in the Caribbean, Latin America, Western Europe, the Middle East, Africa, non-communist Asia, and the southwestern Pacific

This circular presents a summary of the geographic location, amount, and results of petroleum exploration, including an atlas showing explored and delineated prospective areas through 1990. The data show that wildcat well drilling has continued through the last decade to expand the prospective area by about 40,000 to 50,000 square miles per year. However, the area delineated by 1970, which represents only about one-third of the prospective area delineated to date, contains about 80 percent of the oil discovered to date. This discovery distribution suggests that, from an overall prospective, the industry was successful in delineating the most productive areas early. The price increases of the 1970's and 1980's allowed the commercial exploration and development of fields in high-cost areas, such as the North Sea and Campos Basin, Brazil. Data on natural-gas discoveries also indicate that gas will be supplying an increasing share of the worldwide energy market. The size distribution of petroleum provinces is highly skewed. The skewed distribution and the stability in province size orderings suggest that intense exploration in identified provinces will not change the distribution of oil within the study area. Although evidence of the field-growth phenomenon outside the United States and Canada is presented, the data are not yet reliable enough for projecting future growth. The field-growth phenomenon implies not only that recent discoveries are substantially understated, but that field growth could become the dominant source of additions to proved reserves in the future.

Circular

Outer continental shelf oil and gas activities in the Pacific (Southern California) and their onshore impacts: a summary report, May 1980

Outer Continental Shelf (OCS) oil and gas exploration and development have been under way in the Pacific (Southern California) Region since 1966. During that time, there have been four Federal lease sales: in 1966, 1968, 1975 (Sale 35), and 1979 (Sale 48). Oil and gas production from three leases has been going on since 1968. It peaked in 1971 and now averages around 31,400 barrels of oil and 15.4 million cubic feet of gas per day. Discoveries on areas leased in the 1968 and 1975 sales have led to plans for eight new platforms to begin production in the early 1980's. Five platforms are in the eastern end of Santa Barbara Channel, one is in the western Channel, and two are in San Pedro Bay, south of Long Beach. Three rigs are doing exploratory drilling in the Region. The most recent estimates by the U.S. Geological Survey of remaining reserves for all identified fields in the Southern California Region are 695 million barrels of oil and 1,575 billion cubic feet of gas (January 1979). The USGS has also made risked estimates of economically recoverable oil and gas resources for all the leased tracts in the Region (March 1980). These risked estimates of economically recoverable resources are 394 billion barrels of oil and 1,295 billion cubic feet of gas. The USGS estimates of undiscovered recoverable resources for the entire Southern California OCS Region (January 1980) are 3,200 million barrels of oil and 3,400 billion cubic feet of gas. Because of the long history of oil and gas production in Southern California from wells onshore and in State waters, there are many existing facilities for the transportation, processing, and refining of oil and gas. Some of the expected new OCS production can be accommodated in these facilities. Four new onshore projects will be required. Two of these are under construction: (1) a 9.6-km (6-mi) onshore oil pipeline (capacity: 60,000 bpd) between Carpinteria (Santa Barbara County) and the existing Mobil-Rincon separation and treatment facility (Ventura County), and (2) a small supply base and dock (upgrade of existing facility) and a 0.4-hectare (1-acre) crude oil distribution facility in Long Beach (Los Angeles County), connected to landfall by a 3-km (1.8-mi) onshore pipeline. The two other facilities are awaiting permit approval: (1) a gas treatment plant at Las Flores Canyon (Santa Barbara County) and (2) a separation and treatment plant at Mandalay Beach (Ventura County) with 4 km (2.5 mi) of onshore pipeline on the same right-of-way from landfall to the plant and from the plant to an existing gas transmission line.

California

Marshes to mudflats—Effects of sea-level rise on tidal marshes along a latitudinal gradient in the Pacific Northwest

Summary In the Pacific Northwest, coastal wetlands support a wealth of ecosystem services including habitat provision for wildlife and fisheries and flood protection. The tidal marshes, mudflats, and shallow bays of coastal estuaries link marine, freshwater, and terrestrial habitats, and provide economic and recreational benefits to local communities. Climate change effects such as sea-level rise are altering these habitats, but we know little about how these areas will change over the next 50–100 years. Our study examined the effects of sea-level rise on nine tidal marshes in Washington and Oregon between 2012 and 2015, with the goal of providing scientific data to support future coastal planning and conservation. We compiled physical and biological data, including coastal topography, tidal inundation, vegetation structure, as well as recent and historical sediment accretion rates, to assess and model how sea-level rise may alter these ecosystems in the future. Multiple factors, including initial elevation, marsh productivity, sediment availability, and rates of sea-level rise, affected marsh persistence. Under a low sea-level rise scenario, all marshes remained vegetated with little change in the present configuration of communities of marsh plants or gradually increased proportions of middle-, high-, or transition-elevation zones of marsh vegetation. However, at most sites, mid sea-level rise projections led to loss of habitat of middle and high marshes and a gain of low marshes. Under a high sea-level rise scenario, marshes at most sites eventually converted to intertidal mudflats. Two sites (Grays Harbor and Willapa) seemed to have the most resilience to a high rate of rise in sea-level, persisting as low marsh until at least 2110. Our main model finding is that most tidal marsh study sites are resilient to sea-level rise over the next 50–70 years, but that sea-level rise will eventually outpace marsh accretion and drown most habitats of high and middle marshes by 2110.

California, Oregon, Washington

Archive of Digital Chirp Subbottom Profile Data Collected During USGS Cruise 14BIM05 Offshore of Breton Island, Louisiana, August 2014

From August 11 to 31, 2014, the U.S. Geological Survey ( USGS ), in cooperation with the U.S. Fish and Wildlife Service ( USFWS ), conducted a geophysical survey to investigate the geologic controls on barrier island framework and long-term sediment transport offshore of Breton Island, Louisiana as part of a broader USGS study on Barrier Island Mapping ( BIM ). Additional details related to this activity can be found by searching the USGS's Coastal and Marine Geoscience Data System (CMGDS), for field activity 2014-317-FA (also known as 14BIM05). These surveys were funded through the USGS Coastal and Marine Geology Program ( CMGP ) and the Louisiana Outer Coast Early Restoration Project. This report serves as an archive of unprocessed digital chirp subbottom data, trackline maps, navigation files, Geographic Information System ( GIS ) files, Field Activity Collection System ( FACS ) logs, and formal Federal Geographic Data Committee ( FGDC ) metadata. Gained digital images of the seismic profiles are also provided. Refer to the Abbreviations page for explanations of acronyms and abbreviations used in this report. All chirp systems use an acoustic signal of continuously varying frequency; the EdgeTech 512i system used during this survey produced high-resolution, shallow-penetration (typically less than 50 milliseconds [ ms] ) profile images of sub-seafloor stratigraphy. The towfish contains a transducer that transmits and receives acoustic energy and typically is towed 1–2 meters ( m ) below the sea surface. As transmitted acoustic energy intersects density boundaries, such as the seafloor or sub-surface sediment layers, some energy is reflected back toward the transducer, received, and recorded by a Personal Computer ( PC) -based seismic acquisition system. This process is repeated at regular intervals (for example, 0.125 seconds ( s) ) and returned energy is recorded for a specific duration (for example, 50 ms ). In this way, a two-dimensional ( 2-D ) vertical image of the shallow geologic structure beneath the ship's track is produced. Figure 2 displays the acquisition geometry. Refer to table 1 for a summary of acquisition parameters and table 2 for trackline statistics. The archived trace data are in standard SEG Y rev. 0 format (Barry and others, 1975); the first 3,200 bytes of the card image header are in American Standard Code for Information Interchange ( ASCII ) format instead of Extended Binary Coded Decimal Interchange Code ( EBCDIC ) format. The SEG Y files are available on the DVD version of this report or online, downloadable via the USGS Coastal and Marine Geoscience Data System ( http://cmgds.marine.usgs.gov ). The data are also available for viewing using GeoMapApp ( http://www.geomapapp.org ) and Virtual Ocean ( http://www.virtualocean.org ) multi-platform open source software. The Web version of this archive does not contain the SEG Y trace files. To obtain the complete DVD archive, contact USGS Information Services at 1-888-ASK-USGS or infoservices@usgs.gov. The SEG Y files may be downloaded and processed with commercial or public domain software such as Seismic Unix ( SU ) (Cohen and Stockwell, 2010). See the How To Download SEG Y Data page for download instructions. The printable profiles are provided as Graphics Interchange Format ( GIF ) images processed and gained using SU software and can be viewed from the Profiles page or by using the links located on the trackline maps; refer to the Software page for links to example SU processing scripts.

Louisana

USGS invasive carp database management and integration support

Invasive carp tracking, monitoring, and contracted removal will continue throughout the Illinois River and upper Mississippi River as part of an adaptive management effort to mitigate, control, and contain invasive carp. To facilitate these actions, a need to compile and analyze invasive carp-related data from all agencies exists. Invasive carp-related data include all data sources that could inform the MRWG objectives or projects. These data, often in disparate formats, must be integrated into a common format that allows all agencies the opportunity to assess invasive carp monitoring, control, and removal efforts. Ensuring the interoperability of these datasets allows for their use in various analyses and modeling efforts. Implementing an interoperable data management framework provides mechanisms for endusers to find and use integrated data. Integrating data for use in modeling and analysis furthers the partnership’s collective understanding of invasive carp life history, distribution, and movement and can be used to facilitate adaptive management actions (e.g., directing monitoring, sampling, and removal efforts, assessing invasive carp abundance to support modeling efforts, informing deployment of control actions, etc.). An effective data management strategy will streamline the data update process, providing all agencies with timely data and analyses in support of informed decision-making processes.

Interim Summary Report

USGS invasive carp database management and integration support

Invasive carp tracking, monitoring, and contracted removal will continue throughout the Illinois River and upper Mississippi River as part of an adaptive management effort to mitigate, control, and contain invasive carp. Other fish will also be tracked to maintain a holistic view of the transmitter distribution in the Upper IWW. To facilitate these actions, a need to compile and analyze invasive carp-related data from all agencies exists. Invasive carp-related data include all data sources that could inform the MRWG objectives or projects. These data, often in disparate formats, must be integrated into a common format that allows all agencies the opportunity to assess invasive carp monitoring, control, and removal efforts. Ensuring the interoperability of these datasets allows for their use in various analyses and modeling efforts. Implementing an interoperable data management framework provides mechanisms for end-users to find and use integrated data. Integrating data for use in modeling and analysis furthers the partnership’s collective understanding of invasive carp life history, distribution, and movement and can be used to facilitate adaptive management actions (e.g., directing monitoring, sampling, and removal efforts, assessing invasive carp abundance to support modeling efforts, informing deployment of control actions, etc.). An effective data management strategy will streamline the data update process, providing all agencies with timely data and analyses in support of informed decisionmaking processes.

Interim Summary Report

Unique challenges facing Southwestern tribes: Chapter 17

Executive Summary When considering climate change, risks to Native American lands, people, and cultures are noteworthy. Impacts on Native lands and communities are anticipated to be both early and severe due to their location in marginal environments. Because Native American societies are socially, culturally, and politically unique, conventional climate change adaptation planning and related policies could result in unintended consequences or conflicts with Native American governments, or could prove to be inadequate if tribal consultation is not considered. Therefore, it is important to understand the distinct historical, legal, and economic contexts of the vulnerability and adaptive capacity of Southwestern Native American communities. The key messages presented in this chapter are: • Vulnerability of Southwestern tribes is higher than that for most groups because it is closely linked to endangered cultural practices, history, water rights, and socio-economic and political marginalization, characteristics that most Indigenous people share. (high confidence) • Very little data are available that quantify the changes that are occurring or that establish baseline conditions for many tribal communities. Additional data are crucial for understanding impacts on tribal lands for resource monitoring and scientific studies. (high confidence) • The scant data available indicate that at least some tribes may already be experiencing climate change impacts. (medium confidence) • Tribes are taking action to address climate change by instituting climate-change mitigation initiatives, including utility-scale, alternative-energy projects, and energy-conservation projects. Tribes are also evaluating their existing capacity to engage in effective adaptation planning, even though financial and social capital is limited.

Book chapter