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Public-supply water use and self-supplied industrial water use in Tennessee, 2010

The U.S. Geological Survey (USGS), in cooperation with the Tennessee Department of Environment and Conservation, Division of Water Resources, prepared this report and displayed and analyzed water use by self-supplied industrial and public-supply water systems in Tennessee for 2010. Public-supply water systems in Tennessee provide water for domestic, industrial, and commercial uses and for municipal services. In 2010, 474 public-supply water systems distributed 917 million gallons per day (Mgal/d) of surface water (67 percent, 617 Mgal/d) and groundwater (33 percent, 300 Mgal/d) to a population of 5.7 million in Tennessee. Gross per capita water use in Tennessee during 2010 was 162 gallons per day. Since 1950, water withdrawals by public-supply water systems in Tennessee have increased from 160 Mgal/d to 917 Mgal/d in 2010. Each of the 95 counties in Tennessee was served by at least 1 public-supply water system in 2010. Tennessee public-supply water systems withdraw less groundwater than surface water, and surface-water use has increased at a faster rate than groundwater use. Since 2005, surface-water withdrawals have increased by 26 Mgal/d, and groundwater withdrawals have decreased by 29 Mgal/d, which is the first decrease in groundwater withdrawals since 1950; however, 29 systems reported increased groundwater withdrawals during 2010, and 12 of these 29 systems reported increases of 1 Mgal/d or more. Davidson County had the largest surface-water withdrawal rate (136 Mgal/d) in 2010. The largest groundwater withdrawal rate (151 Mgal/d) by a single public-supply water system was reported by Memphis Light, Gas and Water, which served more than 669,000 people in Shelby County in 2010. Self-supplied industrial water use includes water for such purposes as fabrication, processing, washing, diluting, cooling, or transporting a product; incorporating water into a product; or for sanitation needs in facilities that manufacture various products. Water withdrawals for self-supplied industrial water use during 2010 were about 776 Mgal/d. This quantity represented a decrease of 7 Mgal/d since 2005. In Tennessee, self-supplied industrial water withdrawals were primarily for chemical and allied products (555 Mgal/d), paper and allied products (107 Mgal/d), aeronautical products (71.5 Mgal/d), concrete and glass products (9.74 Mgal/d), and primary metal products (4.49 Mgal/d); and these products accounted for 96 percent (747 Mgal/d) of the self-supplied industrial water withdrawals in 2010. Surface water supplied 94 percent of the water (728 Mgal/d) for self-supplied industrial purposes, and groundwater supplied 6 percent (47.6 Mgal/d). Self-supplied industrial water withdrawals in Sullivan County were 488 Mgal/d and accounted for 61 percent of the self-supplied industrial water withdrawals. The largest groundwater withdrawal, 14.9 Mgal/d, by a single self-supplied industry was in Memphis, Tennessee, for the production of chemicals and allied products.

Tennessee↗

The value of closed-circuit rebreathers for biological research

Closed-circuit rebreathers have been used for underwater biological research since the late 1960s, but have only started to gain broader application within scientific diving organizations within the past two decades. Rebreathers offer certain specific advantages for such research, especially for research involving behavior and surveys that depend on unobtrusive observers or for a stealthy approach to wildlife for capture and tagging, research that benefits from extended durations underwater, and operations requiring access to relatively deep (>50 m) environments (especially in remote locations). Although many institutions have been slow to adopt rebreather technology within their diving programs, recent developments in rebreather technology that improve safety, standardize training requirements, and reduce costs of equipment and maintenance, will likely result in a trend of increasing utilization of rebreathers for underwater biological research.

Conference Paper↗

Science target prioritization framework for remote sensing

Behind the scenes of a remote sensing mission there are complex decision making and planning operations. Streamlining these operations, with a quantitative scientific value framework, aids efficient and optimized science data collection. While there have been previous efforts to quantify the science value for specific science scenarios, our work aims to develop a general framework which can be applied across different scenarios. We describe a pipeline of processes which combines model forecast and observation data, in computational forms, as dictated by the mission objectives set forth by subject matter experts. The framework is described with use cases involving the monitoring of nitrogen dioxide (NO2) concentrations over the Gulf of Mexico and methane concentrations over interior Alaska.

Conference Paper↗

Instream investigations in the Beaver Creek Watershed in West Tennessee, 1991-95

The U.S. Geological Survey (USGS), in cooperation with the Tennessee Department of Agriculture, began a long-term scientific investigation in 1989 to evaluate the effect of agricultural activities on water quality and the effectiveness of agricultural best management practices in the Beaver Creek watershed, West Tennessee. In 1993 as a part of this study, the USGS, in cooperation with the Natural Resources Conservation Service, Shelby County Soil Conservation District, and the Tennessee Soybean Promotion Board, began an evaluation of the physical, chemical, biological and hydrological factors that affect water quality in streams and wetlands, and instream resource-management systems to treat agricultural nonpoint-source runoff and improve water quality. The purpose of this report is to present the results of three studies of stream and wetland investigations and a study on the transport of aldicarb from an agricultural field in the Beaver Creek watershed. A natural bottomland hardwood wetland and an artificially constructed wetland were evaluated as instream resource-management systems. These two studies showed that wetlands are an effective way to improve the quality of agricultural nonpoint-source runoff. The wetlands reduced concentrations and loads of suspended sediments, nutrients, and pesticides in the streams. A third paper documents the influence of riparian vegetation on the biological structure and water quality of a small stream draining an agricultural field. A comparison of the upper reach lined with herbaceous plants and the lower reach with mature woody vegetation showed a more stable biological community structure and Water- quality characteristics in the woody reach than in the herbaceous reach. The water-quality characteristics monitored were pH, temperature, dissolved oxygen, and specific conductance. The herbaceous reach had a greater diversity and abundance of organisms during spring and early summer, but the abundance dropped by approximately 85 percent during late summer. A fourth study describes the transport of aldicarb and its metabolites--aldicarb sulfoxide and aldicarb sulfone-in runoff at a small stream draining a cotton field. During 1991 to 1995, aldicarb and its metabolites were detected in runoff events. The highest concentrations occurred when aldicarb was applied to the field just hours before a rain storm. Aldicarb was not detectable in runoff a few weeks after application. The metabolites of aldicarb were detectable for 76 days after application. These studies demonstrate streambank vegetation and wetlands have a significant influence on stream water quality. The importance of weather conditions to herbicide application and runoff also is evident. This information can be used by resource managers to sustain and improve our Nation's streams for future generations.

Water-Resources Investigations Report↗

A long-term study of ecological impacts of river channelization on the population of an endangered fish: Lessons learned for assessment and restoration

Projects to assess environmental impact or restoration success in rivers focus on project-specific questions but can also provide valuable insights for future projects. Both restoration actions and impact assessments can become “adaptive” by using the knowledge gained from long-term monitoring and analysis to revise the actions, monitoring, conceptual model, or interpretation of findings so that subsequent actions or assessments are better informed. Assessments of impact or restoration success are especially challenging when the indicators of interest are imperiled species and/or the impacts being addressed are complex. From 1997 to 2015, we worked closely with two federal agencies to monitor habitat availability for and population density of Roanoke logperch ( Percina rex ), an endangered fish, in a 24-km-long segment of the upper Roanoke River, VA. We primarily used a Before-After-Control-Impact analytical framework to assess potential impacts of a river channelization project on the P. rex population. In this paper, we summarize how our extensive monitoring facilitated the evolution of our (a) conceptual understanding of the ecosystem and fish population dynamics; (b) choices of ecological indicators and analytical tools; and (c) conclusions regarding the magnitude, mechanisms, and significance of observed impacts. Our experience with this case study taught us important lessons about how to adaptively develop and conduct a monitoring program, which we believe are broadly applicable to assessments of environmental impact and restoration success in other rivers. In particular, we learned that (a) pre-treatment planning can enhance monitoring effectiveness, help avoid unforeseen pitfalls, and lead to more robust conclusions; (b) developing adaptable conceptual and analytical models early was crucial to organizing our knowledge, guiding our study design, and analyzing our data; (c) catchment-wide processes that we did not monitor, or initially consider, had profound implications for interpreting our findings; and (d) using multiple analytical frameworks, with varying assumptions, led to clearer interpretation of findings than the use of a single framework alone. Broader integration of these guiding principles into monitoring studies, though potentially challenging, could lead to more scientifically defensible assessments of project effects.

Water↗

Southern California Mountains Ecoregion: Chapter 18 in Status and trends of land change in the Western United States--1973 to 2000

This chapter has been modified from original material published in Soulard and others (2007), entitled “Land-cover trends of the Southern California Mountains ecoregion” (U.S. Geological Survey Scientific Investigations Report 2007–5235). The Southern California Mountains Ecoregion (Omernik, 1987; U.S. Environmental Protection Agency, 1997) encompasses approximately 17,871 km² (6,900 mi²) of land located entirely within California. The ecoregion is bounded on the far north by the Sierra Nevada Ecoregion, on the east by the Mojave Basin and Range Ecoregion, on the southeast by the Sonoran Basin and Range Ecoregion, and on the west and north by Southern and Central California Chaparral and Oak Woodlands Ecoregion. In addition, the northern part of the ecoregion is separated from the Central California Valley Ecoregion by a narrow strip of the Southern and Central California Chaparral and Oak Woodlands Ecoregion (fig. 1).

California↗

Best practices for assessing forage fish fisheries-seabird resource competition

Worldwide, in recent years capture fisheries targeting lower-trophic level forage fish and euphausiid crustaceans have been substantial (∼20 million metric tons [MT] annually). Landings of forage species are projected to increase in the future, and this harvest may affect marine ecosystems and predator-prey interactions by removal or redistribution of biomass central to pelagic food webs. In particular, fisheries targeting forage fish and euphausiids may be in competition with seabirds, likely the most sensitive of marine vertebrates given limitations in their foraging abilities (ambit and gape size) and high metabolic rate, for food resources. Lately, apparent competition between fisheries and seabirds has led to numerous high-profile conflicts over interpretations, as well as the approaches that could and should be used to assess the magnitude and consequences of fisheries-seabird resource competition. In this paper, we review the methods used to date to study fisheries competition with seabirds, and present “best practices” for future resource competition assessments. Documenting current fisheries competition with seabirds generally involves addressing two major issues: 1) are fisheries causing localized prey depletion that is sufficient to affect the birds? (i.e., are fisheries limiting food resources?), and 2) how are fisheries-induced changes to forage stocks affecting seabird populations given the associated functional or numerical response relationships? Previous studies have been hampered by mismatches in the scale of fisheries, fish, and seabird data, and a lack of causal understanding due to confounding by climatic and other ecosystem factors (e.g., removal of predatory fish). Best practices for fisheries-seabird competition research should include i) clear articulation of hypotheses, ii) data collection (or summation) of fisheries, fish, and seabirds on matched spatio-temporal scales, and iii) integration of observational and experimental (including numerical simulation) approaches to establish connections and causality between fisheries and seabirds. As no single technique can provide all the answers to this vexing issue, an integrated approach is most promising to obtain robust scientific results and in turn the sustainability of forage fish fisheries from an ecosystem perspective.

Fisheries Research↗

Mojave Basin and Range Ecoregion: Chapter 29 in Status and trends of land change in the Western United States--1973 to 2000

This chapter has been modified from original material published in Sleeter and Raumann (2006), entitled “Land-cover trends in the Mojave Basin and Range Ecoregion” (U.S. Geological Survey Scientific Investigations Report 2006–5098). The Mojave Basin and Range Ecoregion (Omernik, 1987; U.S. Environmental Protection Agency, 1997) covers approximately 130,922 km 2 (50,549 mi 2 ) in the southwestern United States. The ecoregion, which encompasses parts of four states, includes the Mojave Desert and much of the other desert areas in southeastern California, as well as a large part of the southern Nevada desert (fig. 1). The ecoregion is bounded on the north by the Central Basin and Range Ecoregion, on the east by the Colorado Plateaus and the Arizona/New Mexico Plateau Ecoregions, on the south by the Sonoran Basin and Range Ecoregion, and on the west by the Southern California Mountains and the Sierra Nevada Ecoregions.

Arizona;California;Nevada;Utah↗

The Value of Data – The Qatar Geologic Mapping Project

The State of Qatar is in a period of rapid development, modernization, and population growth. One of the most important factors influencing the long-term success and sustainability of future development is a comprehensive understanding of the region’s geologic regime, geotechnical conditions, natural resources, and environmental constraints. To obtain this understanding, the Ministry of Municipality and Environment (MME) of the State of Qatar has undertaken the Qatar Geological Mapping Project (QGMP). The project was envisioned with the strategic foresight to compile and utilize existing and legacy subsurface data collected as part of its massive infrastructure and development projects as the foundation for developing modern scientific resources including geologic maps, digital thematic maps, and a 3-dimensional geological model of the Doha metropolitan area. Recently, the MME, in consultation with Gannett Fleming, Inc. (GF) and the United States Geological Survey (USGS) concluded the data collection and analysis phase (Phase I) of the two-phase QGMP. Phase I included: the development of a comprehensive geotechnical relational database populated with data digitized from more than 13,000 subsurface data logs; a detailed data quality analysis and distribution assessment; an extensive gap analysis and needs assessment; and careful design of the geologic mapping and subsurface investigation programs for the next phase of the project.

Conference Paper↗

Latest Pleistocene to present geology of Mount Baker Volcano, northern Cascade Range, Washington

Mount Baker is the prominent andesitic stratocone that forms the youngest volcanic center in the Mount Baker volcanic field. Its heavily glaciated cone, rising to 3,286 meters, is an international landmark, dominating the skyline of Vancouver, British Columbia, even though the volcano is located 25 kilometers south of the international border. Mount Baker caught the attention of scientists and the public alike in 1975–76 during a period of increased steaming, thermal output, and near-vent lithic tephra falls. Although a magmatic eruption did not ensue, it awoke the populace to the possibility of renewed volcanic activity in the Cascade Range (the first since the 1914–17 eruptions of Lassen Peak, Calif.)—a possibility fulfilled just five short years later with the 1980 eruption of Mount St. Helens in southwest Washington. The 1980 Mount St. Helens eruption, with its dramatic edifice collapse, extraordinary pyroclastic density current, and catastrophic lahars, invigorated the scientific community into studying these then little-known processes. It also highlighted the need to better understand eruptive histories at other Cascade Range volcanoes in order to prepare for future eruptions. The 1975 unrest also spawned one of the earliest volcano hazard assessments in the Cascade Range, which recognized the rich history of postglacial events at Mount Baker and identified the risk posed by volcanic mudflows, or lahars. The focus of this study is to more fully describe the late-glacial to present surficial geology, to better constrain the timing of events (including 19th-century floods), and to dovetail this history with Hildreth and others’ (2003) bedrock study.

Washington↗

Some Bayesian statistical techniques useful in estimating frequency and density

This paper presents some elementary applications of Bayesian statistics to problems faced by wildlife biologists. Bayesian confidence limits for frequency of occurrence are shown to be generally superior to classical confidence limits. Population density can be estimated from frequency data if the species is sparsely distributed relative to the size of the sample plot. For other situations, limits are developed based on the normal distribution and prior knowledge that the density is non-negative, which insures that the lower confidence limit is non-negative. Conditions are described under which Bayesian confidence limits are superior to those calculated with classical methods; examples are also given on how prior knowledge of the density can be used to sharpen inferences drawn from a new sample.

Special Scientific Report - Wildlife↗

A science-based, watershed strategy to support effective remediation of abandoned mine lands

A U.S. Geological Survey Abandoned Mine Lands Initiative will develop a strategy for gathering and communicating the scientific information needed to formulate effective and cost-efficient remediation of abandoned mine lands. A watershed approach will identify, characterize, and remediate contaminated sites that have the most profound effect on water and ecosystem quality within a watershed. The Initiative will be conducted during 1997 through 2001 in two pilot watersheds, the Upper Animas River watershed in Colorado and the Boulder River watershed in Montana. Initiative efforts are being coordinated with the U.S. Forest Service, Bureau of Land Management, National Park Service, and other stakeholders which are using the resulting scientific information to design and implement remediation activities. The Initiative has the following eight objective-oriented components: estimate background (pre-mining) conditions; define baseline (current) conditions; identify target sites (major contaminant sources); characterize target sites and processes affecting contaminant dispersal; characterize ecosystem health and controlling processes at target sites; develop remediation goals and monitoring network; provide an integrated, quality-assured and accessible data network; and document lessons learned for future applications of the watershed approach.

Colorado;Montana↗

Advancing coastal ocean modelling, analysis, and prediction for the US Integrated Ocean Observing System

This paper outlines strategies that would advance coastal ocean modelling, analysis and prediction as a complement to the observing and data management activities of the coastal components of the US Integrated Ocean Observing System (IOOS®) and the Global Ocean Observing System (GOOS). The views presented are the consensus of a group of US-based researchers with a cross-section of coastal oceanography and ocean modelling expertise and community representation drawn from Regional and US Federal partners in IOOS. Priorities for research and development are suggested that would enhance the value of IOOS observations through model-based synthesis, deliver better model-based information products, and assist the design, evaluation, and operation of the observing system itself. The proposed priorities are: model coupling, data assimilation, nearshore processes, cyberinfrastructure and model skill assessment, modelling for observing system design, evaluation and operation, ensemble prediction, and fast predictors. Approaches are suggested to accomplish substantial progress in a 3–8-year timeframe. In addition, the group proposes steps to promote collaboration between research and operations groups in Regional Associations, US Federal Agencies, and the international ocean research community in general that would foster coordination on scientific and technical issues, and strengthen federal–academic partnerships benefiting IOOS stakeholders and end users.

Journal of Operational Oceanography↗

Reducing Vulnerability of Ports and Harbors to Earthquake and Tsunami Hazards

Recent scientific research suggests the Pacific Northwest could experience catastrophic earthquakes in the near future, both from distant and local sources, posing a significant threat to coastal communities. Damage could result from numerous earthquake-related hazards, such as severe ground shaking, soil liquefaction, landslides, land subsidence/uplift, and tsunami inundation. Because of their geographic location, ports and harbors are especially vulnerable to these hazards. Ports and harbors, however, are important components of many coastal communities, supporting numerous activities critical to the local and regional economy and possibly serving as vital post-event, response-recovery transportation links. A collaborative, multi-year initiative is underway to increase the resiliency of Pacific Northwest ports and harbors to earthquake and tsunami hazards, involving Oregon Sea Grant (OSG), Washington Sea Grant (WSG), the National Oceanic and Atmospheric Administration Coastal Services Center (CSC), and the U.S. Geological Survey Center for Science Policy (CSP). Specific products of this research, planning, and outreach initiative include a regional stakeholder issues and needs assessment, a community-based mitigation planning process, a Geographic Information System (GIS) — based vulnerability assessment methodology, an educational web-site and a regional data archive. This paper summarizes these efforts, including results of two pilot port-harbor community projects, one in Yaquina Bay, Oregon and the other in Sinclair Inlet, Washington. Finally, plans are outlined for outreach to other port and harbor communities in the Pacific Northwest and beyond, using "getting started" workshops and a web-based tutorial.

Oregon, Washington↗

Coastal-Change and Glaciological Map of the Northern Ross Ice Shelf Area, Antarctica: 1962-2004

Changes in the area and volume of polar ice sheets are intricately linked to changes in global climate, and the resulting changes in sea level could severely impact the densely populated coastal regions on Earth. Melting of the West Antarctic part alone of the Antarctic ice sheet would cause a sea-level rise of approximately 6 meters (m). The potential sea-level rise after melting of the entire Antarctic ice sheet is estimated to be 65 m (Lythe and others, 2001) to 73 m (Williams and Hall, 1993). The mass balance (the net volumetric gain or loss) of the Antarctic ice sheet is highly complex, responding differently to different conditions in each region (Vaughan, 2005). In a review paper, Rignot and Thomas (2002) concluded that the West Antarctic ice sheet is probably becoming thinner overall; although it is thickening in the west, it is thinning in the north. Thomas and others (2004), on the basis of aircraft and satellite laser altimetry surveys, believe the thinning may be accelerating. Joughin and Tulaczyk (2002), on the basis of analysis of ice-flow velocities derived from synthetic aperture radar, concluded that most of the Ross ice streams (ice streams on the east side of the Ross Ice Shelf) have a positive mass balance, whereas Rignot and others (2004) infer even larger negative mass balance for glaciers flowing northward into the Amundsen Sea, a trend suggested by Swithinbank and others (2003a,b; 2004). The mass balance of the East Antarctic ice sheet is thought by Davis and others (2005) to be strongly positive on the basis of the change in satellite altimetry measurements made between 1992 and 2003. Measurement of changes in area and mass balance of the Antarctic ice sheet was given a very high priority in recommendations by the Polar Research Board of the National Research Council (1986), in subsequent recommendations by the Scientific Committee on Antarctic Research (SCAR) (1989, 1993), and by the National Science Foundation?s (1990) Division of Polar Programs. On the basis of these recommendations, the U.S. Geological Survey (USGS) decided that the archive of early 1970s Landsat 1, 2, and 3 Multispectral Scanner (MSS) images of Antarctica and the subsequent repeat coverage made possible with Landsat and other satellite images provided an excellent means of documenting changes in the coastline of Antarctica (Ferrigno and Gould, 1987). The availability of this information provided the impetus for carrying out a comprehensive analysis of the glaciological features of the coastal regions and changes in ice fronts of Antarctica (Swithinbank, 1988; Williams and Ferrigno, 1988). The project was later modified to include Landsat 4 and 5 MSS and Thematic Mapper (TM) images (and in some areas Landsat 7 Enhanced Thematic Mapper Plus [ETM+] images), RADARSAT images, and other data where available, in order to compare changes that occurred during a 20- to 25- or 30-year time interval (or longer where data were available, as in the Antarctic Peninsula). The results of the analysis are being used to produce a digital database and a series of USGS Geologic Investigations Series Maps (I?2600) (Williams and others, 1995; Williams and Ferrigno, 1998; Ferrigno and others, 2002) (available online at http://www.glaciers.er.usgs.gov).

IMAP↗

National Water-Quality Assessment (NAWQA) program. A basis for water-resource policy development

The concepts that are the basis for the U.S. Geological Survey's National Water-Quality Assessment (NAWQA) program began forming in the early 1980's. By 1986, a pilot phase was initiated to test and refine assessment concepts and in 1991, the NAWQA program began a multi-year transition to a fully operational program. The goals of the program are to describe the status and trends in the quality of a large representative part of the Nation's ground- and surface-water resources and to develop an understanding of the natural and human factors affecting the quality of these resources. This information will provide a sound scientific basis upon which water resources decision making at all governmental levels can be based. To meet its goals, the program will integrate water-quality information at local, regional, and national scales. The program will be perennial and consist of two major components -- study-unit investigations and national assessment activities. Investigations of surface- and ground-water resources of major regional hydrologic systems (river basins and aquifer systems) each covering 1200 to about 60,000 square miles, will be conducted on a rotating basis for 60 study units located throughout the Nation. Key findings from these study-unit investigations will be used along with other information to provide issue-oriented water-quality assessments of regional and national interest.

Conference Paper↗

Evaluation of natural and anthropogenic (human-made) hexavalent chromium

Hexavalent chromium, Cr(VI), was released between 1952 and 1964 from the Pacific Gas and Electric Company (PG&E) Hinkley compressor station, in the Mojave Desert about 80 miles northeast of Los Angeles, California. Geologic, geochemical, and hydrologic data from more than 100 wells collected between March 2015 and November 2017 were interpreted using a summative-scale analysis to define the extent of anthropogenic (human-made) Cr(VI) in groundwater. The summative scale consisted of eight questions requiring binary (yes or no) answers for each sampled well. The questions were intended to (1) provide a transparent framework for data interpretation in which all stakeholders participated; (2) provide unbiased interpretation of data traceable to numerical measurements; (3) provide a framework that enabled geologic, geochemical, and hydrologic data to be considered collectively; and (4) consolidate different types of data into a simple, easy-to-understand interpretation. When data from each well are scored using questions and metrics within the summative scale, all stakeholders would score each well the same way and would draw the same summative-scale Cr(VI) plume extent. The areal extent of the summative-scale Cr(VI) plume was 5.5 square miles (mi 2 ); this is larger than the 2.2-mi 2 extent of the October–December 2015 (Q4 2015) regulatory Cr(VI) plume but smaller than the 8.3-mi2 maximum mapped extent of Cr(VI) greater than the interim regulatory Cr(VI) background value of 3.1 micrograms per liter (μg/L). The summative-scale Cr(VI) plume is within the area covered by the PG&E monitoring well network and lies within “Mojave-type” deposits composed of low-chromium stream and near-shore lake deposits sourced from the Mojave River. The summative-scale Cr(VI) plume included all shallow wells within the footprint of the Q4 2015 regulatory Cr(VI) plume, but summative-scale scores indicate that anthropogenic Cr(VI) was not present in several wells within the footprint of the regulatory Cr(VI) plume that were screened within the deep zone of the upper aquifer. The summative-scale Cr(VI) plume extent was consistent with mineralogic and geochemical data collected as part of this study that were not used within the summative-scale analysis. Data from wells outside the summative-scale Cr(VI) plume collected for regulatory purposes from April 2017 through March 2018 were used to estimate Cr(VI) background concentrations as the upper 95-percent tolerance limit (UTL 95 ) in different parts of Hinkley and Water Valleys. The UTL 95 values were calculated using the computer program ProUCL 5.1 and are suitable for use by regulatory agencies in support of (1) updating the regulatory Cr(VI) plume extent and management of Cr(VI) near the plume margins, (2) establishing cleanup goals for Cr(VI) within the updated regulatory Cr(VI) plume, and (3) identifying unusual Cr(VI) concentrations outside the regulatory Cr(VI) plume. The nonparametric UTL 95 values for wells screened in Mojave-type deposits in the eastern, western, and northern subareas of Hinkley Valley were 3.7, 3.9, and 4.0 μg/L, respectively. The normal UTL 95 values for wells screened in undifferentiated, unconsolidated deposits in the eastern and western subareas and the northern subarea upgradient from the Mount General fault were 2.8, 3.8, and 4.8 μg/L, respectively. An overall normal UTL 95 value of 3.8 μg/L was calculated for undifferentiated, unconsolidated deposits in these areas. This value is similar to the overall nonparametric UTL 95 value of 3.9 μg/L calculated for Mojave-type deposits and similar to the maximum Cr(VI) concentration of older groundwater in contact with Mojave-type deposits of 3.6 μg/L. The provenance of most PG&E monitoring wells is not precisely known, and the UTL 95 values for wells screened in undifferentiated, unconsolidated deposits in the different subareas may be more widely applicable for regulatory purposes than the UTL 95 values for Mojave-type deposits. The UTL 95 value of 2.8 μg/L for wells screened in undifferentiated, unconsolidated deposits in the eastern subarea is important for plume management because most of the summative-scale Cr(VI) plume is within the eastern subarea. A UTL 95 value of 5.8 μg/L was calculated for older (pre-1952) groundwater associated with mudflat/playa deposits in the eastern subarea near Mount General. A UTL 95 value of 2.3 μg/L was calculated for Mojave-type deposits within the Cr(VI) plume downgradient from the Hinkley compressor station after regulatory updates. This lower value is consistent with neutral to slightly alkaline, younger (post-1952) groundwater within coarse-textured, low-chromium Mojave-type deposits in this area and may be a suitable metric for Cr(VI) cleanup goals. The UTL 95 value of 4.8 μg/L for wells screened in undifferentiated, unconsolidated deposits in the northern subarea upgradient from the Mount General fault provides for possible increases in Cr(VI) concentrations if water levels continue to decline. Downgradient from the Q4 2015 regulatory Cr(VI) plume and the summative-scale Cr(VI) plume, UTL 95 values of 9.0 and 6.4 μg/L were calculated for wells screened in undifferentiated, unconsolidated deposits in the northern subarea downgradient from the Mount General fault and for Water Valley, respectively, consistent with different geologic and geochemical conditions in these areas. The UTL 95 values calculated as part of this study provide scientifically defensible estimates of background Cr(VI) concentrations that differ with local geologic, geochemical, and hydrologic conditions in Hinkley and Water Valleys. The regulatory Cr(VI) plume extent can be updated on the basis of these values. The summative-scale Cr(VI) plume extent may contain wells having anthropogenic Cr(VI) concentrations less than the UTL 95 values for their respective subareas that may not require regulatory attention, and an updated regulatory Cr(VI) plume extent may be less than the summative-scale Cr(VI) plume extent. The UTL 95 values are not background Cr(VI) concentrations for regulatory purposes, and the authority to establish regulatory values resides solely with the Lahontan Regional Water Quality Control Board.

California↗

Coordinating standards and applications for optical water quality sensor networks

Joint USGS-CUAHSI Workshop: In Situ Optical Water Quality Sensor Networks; Shepherdstown, West Virginia, 8-10 June 2011; Advanced in situ optical water quality sensors and new techniques for data analysis hold enormous promise for advancing scientific understanding of aquatic systems through measurements of important biogeochemical parameters at the time scales over which they vary. High-frequency and real-time water quality data also provide the opportunity for early warning of water quality deterioration, trend detection, and science-based decision support. However, developing networks of optical sensors in freshwater systems that report reliable and comparable data across and between sites remains a challenge to the research and monitoring community. To address this, the U.S. Geological Survey (USGS) and the Consortium of Universities for the Advancement of Hydrologic Science, Inc. (CUAHSI), convened a 3-day workshop to explore ways to coordinate development of standards and applications for optical sensors, as well as handling, storage, and analysis of the continuous data they produce.

Conference Paper↗